UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549
                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: June 30, 2002
                                               ---------------------------
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:      The PNC Financial Services Group, Inc.
       -----------------------------------------------
Address:          249 Fifth Avenue
            ---------------------------------------------------------
                  Pittsburgh, PA   15222-2707
            ---------------------------------------------------------

Form 13F File Number:   28-1235
                        --------------------
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 the Report on behalf of Reporting Manager:

Name:    Robert L. Haunschild
       --------------------------------------------------------------------
Title:   Senior Vice President and Chief Financial Officer
        -----------------------------------------------------
Phone:    (412) 762-5770
        ----------------------------------------------------------------------
Signature, Place, and Date of Signing:

  /s/ Robert L. Haunschild     Pittsburgh, PA                 August 9, 2002
--------------------------     ------------------------       ----------------
[Signature]                    [City, State]                  [Date]

Report Type (Check only one.):

[ ]      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).)

[X]      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).)

List of Other Managers Reporting for this Manager:
             Form 13F File Number        Name
             28-5703                     BlackRock, Inc.
             --------------------------  --------------------------------------


Page 2
                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                             4
                                             ------------------------------

Form 13F Information Table Entry Total:                            3,006
                                                     -------------------------

Form 13F Information Table Value Total:          $       24,188,035
                                                  -----------------------
                                                              (thousands)

List of Other Included Managers:

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.

No.          Form 13F File Number        Name

     1       28-1500                     J.J. B. Hilliard, W. L. Lyons, Inc.
-----------------------------------------------------------------------------


     2       28-4750                     PNC Bancorp, Inc.
-----------------------------------------------------------------------------


     3       28-4580                     PNC Bank, Delaware
-----------------------------------------------------------------------------


     4       28-5284                     PNC Bank, National Association
-----------------------------------------------------------------------------





1                                                                                                                   FILE NO. 28-1235
   PAGE     1 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  DAIMLERCHRYSLER AG             ORD            D1668R123     692,245      14,353       X     28-5284      13251                1102
                                                              735,266      15,245       X   X 28-5284       8587      4415      2243
                                                              154,577       3,205       X     28-4580       3205
                                                               74,757       1,550       X   X 28-4580       1550

  DEUTSCHE BANK AG NAMEN         ORD            D18190898      21,548         310       X     28-5284        310

  ACE LTD                        ORD            G0070K103   3,091,270      97,825       X     28-5284      65695      1330     30800
                                                              857,972      27,151       X   X 28-5284      15066      7415      4670
                                                               85,320       2,700       X   X 28-1500       2700
                                                               13,904         440       X     28-4580        440
                                                               13,272         420       X   X 28-4580        150       270

  AMDOCS LTD                     ORD            G02602103       8,041       1,065       X     28-5284       1065
                                                                8,683       1,150       X   X 28-5284                           1150
                                                                  340          45       X   X 28-1500         45

  ANNUITY AND LIFE RE HLDGS      ORD            G03910109      29,849       1,650       X   X 28-5284       1650

  APW LTD                        COM            G04397108           4          93       X   X 28-5284         93

  ACCENTURE LTD BERMUDA          CL A           G1150G111      67,925       3,575       X   X 28-5284                           3575
                                                                9,500         500       X   X 28-1500        500

  BUNGE LIMITED                  COM            G16962105       6,330         300       X   X 28-5284        300

  CHINADOTCOM CORP               CL A           G2108N109         544         200       X     28-5284        200

  COOPER INDS LTD                CL A           G24182100     103,438       2,632       X     28-5284       2632
                                                              475,884      12,109       X   X 28-5284       8277      3616       216
                                                               39,300       1,000       X   X 28-4580       1000

  ELAN PLC                       RIGHT 03/31/20 G29539148           2         350       X   X 28-5284        350

  XCELERA INC                    COM            G31611109       1,680       2,000       X   X 28-5284       2000

  EVEREST RE GROUP LTD           COM            G3223R108     284,394       5,083       X     28-5284       5083
                                                               83,925       1,500       X   X 28-5284                           1500

  FOSTER WHEELER LTD             SHS            G36535105       3,200       2,000       X     28-5284       2000
                                                                9,614       6,009       X   X 28-5284          9                6000

  FRESH DEL MONTE PRODUCE INC    ORD            G36738105     335,000      13,400       X   X 28-5284       8300                5100
0                COLUMN TOTAL                               7,207,784
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE     2 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  GLOBALSANTAFE CORP             SHS            G3930E101     147,362       5,388       X     28-5284       5189                 199
                                                               57,490       2,102       X   X 28-5284       2016                  86

  GLOBAL SOURCES LTD             ORD            G39300101      24,000       6,000       X     28-5284       6000

  INGERSOLL-RAND COMPANY LTD     CL A           G4776G101   2,471,576      54,130       X     28-5284      47230      3000      3900
                                                            1,392,767      30,503       X   X 28-5284      21203      3700      5600
                                                               44,153         967       X   X 28-4580        331                 636

  KNIGHTSBRIDGE TANKERS LTD      ORD            G5299G106       7,195         500       X     28-5284        500
                                                                8,633         600       X   X 28-5284        600

  LORAL SPACE & COMMUNICATIONS   COM            G56462107         396         400       X     28-5284        400
                                                                8,910       9,000       X   X 28-5284                 4000      5000

  MARVELL TECHNOLOGY GROUP LTD   ORD            G5876H105     144,302       7,255       X   X 28-5284       1900                5355

  NOBLE CORPORATION              SHS            G65422100     306,291       7,935       X     28-5284       7035                 900
                                                               46,320       1,200       X   X 28-5284        200                1000
                                                               46,706       1,210       X   X 28-1500       1210
                                                                1,969          51       X     28-4580         51

  OPENTV CORP                    CL A           G67543101          96          30       X     28-5284         30

  O2MICRO INTERNATIONAL LIMITE   ORD            G6797E106      98,325       9,500       X     28-5284       9500

  PARTNERRE LTD                  COM            G6852T105     129,718       2,650       X   X 28-5284                           2650

  PXRE GROUP LTD                 COM            G73018106     185,600       8,000       X     28-5284       8000

  RENAISSANCE RE HLDGS LTD       COM            G7496G103     109,800       3,000       X     28-5284       2400                 600
                                                              120,780       3,300       X   X 28-5284                           3300
                                                               10,980         300       X   X 28-1500        300

  SEVEN SEAS PETROLEUM INC       ORD            G80550109       2,270       1,000       X   X 28-1500       1000

  STEWART W P & CO LTD           COM            G84922106     229,680       9,000       X     28-5284                           9000

  HILFIGER TOMMY CORP            ORD            G8915Z102       2,263         158       X     28-5284        158

  TRANSOCEAN INC                 ORD            G90078109   2,698,805      86,639       X     28-5284      33727       836     52076
                                                            1,212,732      38,932       X   X 28-5284      23269     11111      4552
                                                                1,184          38       X   X 28-1500         38
0                COLUMN TOTAL                               9,510,303
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE     3 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  TRENWICK GROUP LTD             COM            G9032C109       7,500       1,000       X     28-5284       1000

  WILLIS GROUP HOLDINGS LTD      SHS            G96655108      98,730       3,000       X     28-5284       3000
                                                              177,714       5,400       X   X 28-5284       1000      2200      2200

  XOMA LTD                       ORD            G9825R107      25,935       6,500       X     28-5284       2500                4000
                                                                3,990       1,000       X   X 28-5284       1000

  XL CAP LTD                     CL A           G98255105   1,038,930      12,266       X     28-5284      11866                 400
                                                            1,308,615      15,450       X   X 28-5284      10600      2000      2850

  ALCON INC                      COM SHS        H01301102     102,750       3,000       X   X 28-5284                           3000

  UBS AG                         NAMEN AKT      H8920M855     260,725       5,226       X     28-5284       5226
                                                                5,987         120       X   X 28-5284        120
                                                                  748          15       X   X 28-1500         15

  SBS BROADCASTING SA            ORD            L8137F102      35,359       1,900       X   X 28-5284                           1900

  BACKWEB TECHNOLOGIES LTD       ORD            M15633106         899       1,500       X   X 28-1500       1500

  CERAGON NETWORKS LTD           ORD            M22013102         164         100       X   X 28-5284        100

  CHECK POINT SOFTWARE TECH LT   ORD            M22465104   6,416,402     473,186       X     28-5284     442282      8319     22585
                                                            1,273,189      93,893       X   X 28-5284      54135     37848      1910
                                                               26,645       1,965       X     28-1500                 1965
                                                               85,604       6,313       X     28-4580       6313
                                                                7,458         550       X   X 28-4580                  100       450

  PRECISE SOFTWARE SOLUTIONS L   ORD            M41450103      26,740       2,800       X     28-5284       2800

  LANOPTICS LTD                  ORD            M6706C103       6,900       1,000       X   X 28-5284       1000

  M SYS FLASH DISK PIONEERS LT   ORD            M7061C100       4,152         500       X     28-5284        500
                                                                1,661         200       X   X 28-1500        200

  NEXUS TELOCATION SYS LTD       SHS NEW        M74919149         366         333       X   X 28-5284        333

  OPTIBASE LTD                   ORD            M7524R108         209         100       X     28-5284        100

  ORBOTECH LTD                   ORD            M75253100      29,510       1,300       X     28-5284       1300

  TARO PHARMACEUTICAL INDS LTD   ORD            M8737E108     139,764       5,700       X     28-5284       5700
0                COLUMN TOTAL                              11,086,646
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE     4 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ASM INTL N V                   COM            N07045102     117,368       6,800       X     28-5284       6800

  ASML HLDG NV                   N Y SHS        N07059111      93,744       6,200       X     28-5284       6200

  CORE LABORATORIES N V          COM            N22717107       9,736         810       X   X 28-1500        810

  ICTS INTERNATIONAL NV          COM            N43837108       5,390         770       X     28-5284        770

  ORTHOFIX INTL N V              COM            N6748L102     175,750       5,000       X   X 28-5284       5000

  PANAMERICAN BEVERAGES INC      CL A           P74823108      19,451       1,365       X     28-5284        165                1200
                                                                7,125         500       X   X 28-5284        500
                                                                  998          70       X   X 28-1500         70

  ROYAL CARIBBEAN CRUISES LTD    COM            V7780T103       9,750         500       X     28-5284        500
                                                               42,900       2,200       X   X 28-5284       1700       500

  FLEXTRONICS INTL LTD           ORD            Y2573F102   1,293,004     181,347       X     28-5284     154263      8833     18251
                                                              464,170      65,101       X   X 28-5284      24479     19597     21025
                                                               29,304       4,110       X     28-1500                 4110

  OMI CORP NEW                   COM            Y6476W104       8,200       2,000       X     28-5284                           2000

  AAR CORP                       COM            000361105       1,346         132       X     28-5284        132
                                                                2,142         210       X   X 28-5284        210

  ABC BANCORP                    COM            000400101   1,226,936      82,400       X     28-1500      82400

  A C MOORE ARTS & CRAFTS INC    COM            00086T103      14,205         300       X   X 28-5284                  300

  A D C TELECOMMUNICATIONS       COM            000886101      44,930      19,620       X     28-5284      17804                1816
                                                               10,992       4,800       X   X 28-5284       4800
                                                               10,442       4,560       X   X 28-1500       4560

  ACM INCOME FUND INC            COM            000912105     491,744      61,622       X     28-5284      61622
                                                               63,800       7,995       X   X 28-5284       7995

  ACM MANAGED INCOME FD INC      COM            000919100       2,138         509       X   X 28-5284        509

  ABN AMRO HLDG NV               SPONSORED ADR  000937102      10,878         602       X     28-5284        298                 304
                                                                  235          13       X   X 28-1500         13
0                COLUMN TOTAL                               4,156,678
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE     5 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ACM MUN SECS INCOME FD INC     COM            000942102      18,525       1,500       X     28-5284       1500
                                                               13,585       1,100       X   X 28-5284       1100

  ACM MANAGED DLR INCOME FD      COM            000949107       1,078         160       X     28-5284        160

  ABM INDS INC                   COM            000957100      31,248       1,800       X   X 28-5284                 1800

  AFC ENTERPRISES INC            COM            00104Q107      43,750       1,400       X   X 28-5284                           1400

  AFLAC INC                      COM            001055102   1,951,872      60,996       X     28-5284      58646                2350
                                                            1,778,880      55,590       X   X 28-5284       8090     37600      9900
                                                               46,720       1,460       X     28-1500                 1460
                                                               27,200         850       X     28-4580        850

  AGCO CORP                      COM            001084102     124,800       6,400       X   X 28-5284       2000                4400

  AGL RES INC                    COM            001204106      38,280       1,650       X     28-5284       1050                 600
                                                               10,440         450       X   X 28-5284        450
                                                               27,840       1,200       X   X 28-4580       1200

  AHL SVCS INC                   COM            001296102       4,000       2,000       X     28-5284       2000

  AES CORP                       COM            00130H105   1,554,635     286,833       X     28-5284     282402      1883      2548
                                                              218,513      40,316       X   X 28-5284      26508     10640      3168
                                                                1,003         185       X   X 28-1500        185
                                                                5,962       1,100       X     28-4580       1100
                                                               16,639       3,070       X   X 28-4580       2820       250

  AK STL HLDG CORP               COM            001547108      21,021       1,641       X     28-5284       1641
                                                            1,477,083     115,307       X   X 28-5284         10     95725     19572

  AMN HEALTHCARE SERVICES INC    COM            001744101     206,559       5,900       X   X 28-5284       5900

  AMR CORP                       COM            001765106      30,348       1,800       X     28-5284       1800
                                                               15,174         900       X   X 28-5284        100                 800
                                                               16,860       1,000       X   X 28-1500       1000

  AOL TIME WARNER INC            COM            00184A105  31,356,336   2,131,634       X     28-5284    1969159     23042    139433
                                                           11,500,705     781,829       X   X 28-5284     460725    212437    108667
                                                              399,185      27,137       X     28-1500                27137
                                                              679,499      46,193       X     28-4580      34193               12000
                                                              185,228      12,592       X   X 28-4580      10852      1440       300
0                COLUMN TOTAL                              51,802,968
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE     6 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AT&T CORP                      COM            001957109  11,889,359   1,111,155       X     28-5284    1032995     35183     42977
                                                           10,616,743     992,219       X   X 28-5284     550298    338434    103487
                                                               59,492       5,560       X     28-1500                 5560
                                                              786,161      73,473       X     28-4580      40860               32613
                                                              275,354      25,734       X   X 28-4580      24534      1200

  ASA LTD                        COM            002050102     981,120      32,000       X   X 28-5284      30200                1800

  ATMI INC                       COM            00207R101      24,607       1,100       X     28-5284       1100

  ATS MED INC                    COM            002083103         550       1,000       X     28-5284       1000

  AT&T WIRELESS SVCS INC         COM            00209A106   1,250,800     213,812       X     28-5284     199716      2200     11896
                                                            1,390,375     237,671       X   X 28-5284     124421     72968     40282
                                                               29,572       5,055       X   X 28-1500       5055
                                                               98,549      16,846       X     28-4580       6615               10231
                                                               33,485       5,724       X   X 28-4580       5338       386

  ATC HEALTHCARE INC             CL A           00209C102         752         400       X     28-5284        400

  AVX CORP                       COM            002440105           0           4       X     28-5284          4

  AVX CORP NEW                   COM            002444107       8,165         500       X     28-4580        500

  ABBOTT LABS                    COM            002824100  92,458,347   2,455,733       X     28-5284    1946674     31940    477119
                                                          105,239,845   2,795,215       X   X 28-5284    1989201    480983    325031
                                                              517,876      13,755       X     28-1500                13755
                                                            2,595,968      68,950       X     28-4580      68950
                                                            2,055,088      54,584       X   X 28-4580      47184      7400

  ABER DIAMOND CORP              COM            002893105      18,189       1,000       X     28-5284                           1000

  ABERCROMBIE & FITCH CO         CL A           002896207     107,527       4,458       X     28-5284       4458
                                                               90,378       3,747       X   X 28-5284                           3747
                                                               12,060         500       X   X 28-1500        500

  ABERDEEN ASIA PACIFIC INCOM    COM            003009107      29,803       6,248       X     28-5284       6248

  ABERDEEN AUSTRALIA EQTY FD I   COM            003011103       4,992         800       X     28-5284        800
                                                               22,090       3,540       X   X 28-5284                           3540

  ABGENIX INC                    COM            00339B107      47,040       4,800       X     28-5284       4800
                                                               11,662       1,190       X   X 28-5284        300                 890
0                COLUMN TOTAL                             230,655,949
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE     7 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ABIOMED INC                    COM            003654100      62,745       7,400       X   X 28-5284        700      6000       700

  ACCREDO HEALTH INC             COM            00437V104      61,781       1,339       X     28-5284        300      1039
                                                                   92           2       X   X 28-5284          2

  ACCRUE SOFTWARE INC            COM            00437W102       1,355       8,470       X     28-5284       8470
                                                                    2          15       X   X 28-5284         15

  ACTIVISION INC NEW             COM NEW        004930202     133,356       4,589       X     28-5284       4589

  ACTION PERFORMANCE COS INC     COM            004933107     161,602       5,114       X     28-5284       5114

  ACTERNA CORP                   COM            00503U105       5,325      12,957       X     28-5284      12957

  ACTIVE POWER INC               COM            00504W100      54,468      15,088       X   X 28-5284      15088

  ACTRADE FINL TECHNOLOGIES LT   COM            00507P102      41,680       4,000       X     28-4580       4000

  ACTUATE CORP                   COM            00508B102       9,000       2,000       X     28-5284       2000

  ACUITY BRANDS INC              COM            00508Y102      15,197         835       X   X 28-5284        835

  ACXIOM CORP                    COM            005125109         979          56       X     28-5284         56

  ADAMS EXPRESS CO               COM            006212104      44,516       3,631       X     28-5284       2250                1381
                                                              220,018      17,946       X   X 28-5284       1966     15980

  ADAPTEC INC                    COM            00651F108         292          37       X     28-5284         37
                                                               86,790      11,000       X   X 28-5284      11000
                                                                  276          35       X     28-1500                   35

  ADECCO SA                      SPONSORED ADR  006754105       3,044         205       X   X 28-5284                            205
                                                                2,228         150       X   X 28-1500        150

  ADMINISTAFF INC                COM            007094105      19,000       1,900       X     28-5284       1900

  ADOBE SYS INC                  COM            00724F101     138,567       4,862       X     28-5284       3892                 970
                                                              334,875      11,750       X   X 28-5284       9550       200      2000
                                                               39,729       1,394       X   X 28-1500       1394

  ADOLOR CORPORATION             COM            00724X102     124,817      11,085       X                  11085

  ADVANCED DIGITAL INFORMATION   COM            007525108      87,672      10,400       X     28-5284      10400
0                COLUMN TOTAL                               1,649,406
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE     8 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ADVANCED FIBRE COMMUNICATION   COM            00754A105       1,654         100       X     28-5284        100
                                                               16,540       1,000       X   X 28-1500       1000

  ADVO INC                       COM            007585102      68,526       1,800       X   X 28-5284                           1800

  AEGIS RLTY INC                 COM            00760P104       2,430         217       X     28-5284        217
                                                               30,587       2,731       X   X 28-5284       1531      1200

  ADVISORY BRD CO                COM            00762W107      47,112       1,300       X     28-5284       1300

  AEROFLEX INC                   COM            007768104      59,770       8,600       X     28-5284       8600

  ADVANCEPCS                     COM            00790K109      71,820       3,000       X   X 28-5284                           3000

  ADVANCED MICRO DEVICES INC     COM            007903107      95,742       9,850       X     28-5284       9650                 200
                                                               30,132       3,100       X   X 28-5284       2000       100      1000
                                                                2,041         210       X   X 28-1500        210

  AEGON N V                      ORD AMER REG   007924103  11,489,732     564,606       X     28-5284     391378      8501    164727
                                                            7,704,673     378,608       X   X 28-5284     281487     47508     49613
                                                                8,649         425       X     28-1500                  425
                                                                3,053         150       X   X 28-4580                  150

  ADVANTA CORP                   CL A           007942105      73,674       6,784       X     28-5284       6784

  ADVENT SOFTWARE INC            COM            007974108     524,280      20,400       X     28-5284                          20400
                                                               10,280         400       X   X 28-5284        400
                                                                  900          35       X     28-1500                   35

  AETERNA LABORATORIES INC       SUB VTG SH     007975105       7,088       1,875       X     28-4580       1875

  AES TR III                     PFD CV 6.75%   00808N202      29,218       1,550       X   X 28-5284                 1550

  AETHER SYSTEMS INC             COM            00808V105      78,110      26,478       X                  26478

  AETNA INC NEW                  COM            00817Y108     239,802       4,999       X     28-5284       1999                3000
                                                              869,792      18,132       X   X 28-5284      17332       800

  AFFILIATED COMPUTER SERVICES   CL A           008190100      18,755         395       X     28-5284        395
                                                              591,126      12,450       X   X 28-5284       4100                8350

  AFFYMETRIX INC                 COM            00826T108       7,197         300       X   X 28-1500        300
0                COLUMN TOTAL                              22,082,683
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE     9 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AGERE SYS INC                  CL A           00845V100      10,854       7,753       X     28-5284       7357        58       338
                                                                8,071       5,765       X   X 28-5284       2990      2227       548
                                                                  724         517       X     28-1500                  517
                                                                  549         392       X     28-4580        190                 202
                                                                  315         225       X   X 28-4580        199        26

  AGERE SYS INC                  CL B           00845V209     225,593     150,395       X     28-5284     139387      1642      9366
                                                              228,626     152,417       X   X 28-5284      80688     57433     14296
                                                               19,701      13,134       X     28-1500                13134
                                                               15,062      10,041       X     28-4580       5054                4987
                                                                8,787       5,858       X   X 28-4580       5168       690

  AGILENT TECHNOLOGIES INC       COM            00846U101   8,081,583     341,716       X     28-5284     329828       971     10917
                                                            4,837,820     204,559       X   X 28-5284     117243     67333     19983
                                                               16,792         710       X   X 28-1500        710
                                                              171,108       7,235       X     28-4580       4184                3051
                                                              934,743      39,524       X   X 28-4580       5135       140     34249

  AGNICO EAGLE MINES LTD         COM            008474108      85,963       5,900       X   X 28-5284                  500      5400

  AGRIUM INC                     COM            008916108      29,140       3,100       X   X 28-5284                           3100

  AIMGLOBAL TECHNOLOGIES INC     COM            00900N100      35,002      81,400       X     28-5284      81400

  AIR PRODS & CHEMS INC          COM            009158106  14,592,643     289,135       X     28-5284     270385      1790     16960
                                                           11,863,781     235,066       X   X 28-5284     117725     96792     20549
                                                               25,235         500       X   X 28-1500        500
                                                              282,380       5,595       X     28-4580       5595
                                                              171,598       3,400       X   X 28-4580       3400

  AIRBORNE INC                   COM            009269101      38,400       2,000       X     28-5284       2000
                                                               90,240       4,700       X   X 28-5284                           4700

  AIRGAS INC                     COM            009363102     207,600      12,000       X     28-5284                          12000

  AIRLEASE LTD                   DEPOSITORY UNI 009366105      20,605       6,500       X   X 28-5284                 6500

  AIRGATE PCS INC                COM            009367103       2,200       2,200       X   X 28-5284                           2200

  AKAMAI TECHNOLOGIES INC        COM            00971T101      13,468      10,360       X     28-5284      10320                  40
                                                                   65          50       X   X 28-1500         50

  AKZO NOBEL NV                  SPONSORED ADR  010199305      10,092         232       X     28-5284        232
0                COLUMN TOTAL                              42,028,740
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    10 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ALABAMA NATL BANCORP DELA      COM            010317105      21,645         500       X     28-5284                            500

  ALAMOSA HLDGS INC              COM            011589108       2,115       1,500       X     28-5284       1500

  ALASKA AIR GROUP INC           COM            011659109       7,830         300       X     28-5284        200                 100

  ALBEMARLE CORP                 COM            012653101     130,995       4,260       X     28-5284       1260                3000

  ALBERTSONS INC                 COM            013104104   1,543,439      50,671       X     28-5284      38530               12141
                                                            1,260,831      41,393       X   X 28-5284      25097      5031     11265
                                                               93,360       3,065       X   X 28-1500       3065
                                                              225,099       7,390       X     28-4580       7390
                                                               21,322         700       X   X 28-4580        700

  ALCAN INC                      COM            013716105     447,689      11,932       X     28-5284       4565       367      7000
                                                               18,798         501       X   X 28-5284        501

  ALCOA INC                      COM            013817101  19,896,928     600,209       X     28-5284     512216      4884     83109
                                                           16,655,985     502,443       X   X 28-5284     298047    101268    103128
                                                              519,792      15,680       X   X 28-1500      15680
                                                               54,366       1,640       X     28-4580       1640
                                                               80,024       2,414       X   X 28-4580       1944       470

  ALCATEL                        SPONSORED ADR  013904305     255,043      35,871       X     28-5284      35871
                                                                1,884         265       X   X 28-5284        265

  ALEXANDER & BALDWIN INC        COM            014482103     689,310      27,000       X   X 28-5284      27000

  ALEXION PHARMACEUTICALS INC    COM            015351109       6,060         400       X     28-5284        400

  ALFA CORP                      COM            015385107       9,360         800       X     28-5284        800

  ALICO INC                      COM            016230104      17,634         600       X     28-5284        600

  ALKERMES INC                   COM            01642T108         640          40       X     28-5284         40
                                                                5,347         334       X   X 28-5284        334
                                                                2,482         155       X   X 28-1500        155

  ALLEGHANY CORP DEL             COM            017175100      55,963         293       X     28-5284        293
                                                           80,204,911     419,921       X   X 28-5284        394    305655    113872
0                COLUMN TOTAL                             122,228,852
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    11 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ALLEGHENY ENERGY INC           COM            017361106   2,182,158      84,744       X     28-5284      79668      3126      1950
                                                            2,589,394     100,559       X   X 28-5284      72637     22470      5452
                                                              165,186       6,415       X     28-4580       5215                1200
                                                               27,038       1,050       X   X 28-4580       1050

  ALLEGHENY TECHNOLOGIES INC     COM            01741R102      59,250       3,750       X     28-5284       3750
                                                                6,873         435       X   X 28-5284        435

  ALLEGIANCE TELECOM INC         COM            01747T102       1,107         605       X     28-5284        605

  ALLEN ORGAN CO                 CL B           017753104     113,400       2,800       X   X 28-5284                 2800

  ALLERGAN INC                   COM            018490102  57,268,964     857,962       X     28-5284     587478      4048    266436
                                                           20,470,022     306,667       X   X 28-5284     184393     41504     80770
                                                              333,750       5,000       X     28-1500                 5000
                                                              785,180      11,763       X     28-4580      11521                 242
                                                              318,665       4,774       X   X 28-4580       4205       430       139

  ALLETE INC                     COM            018522102     173,440       6,400       X     28-5284       6400
                                                              524,114      19,340       X   X 28-5284      12020      5520      1800

  ALLIANCE CAP MGMT HLDG L P     UNIT LTD PARTN 01855A101     842,550      24,600       X     28-5284      24600
                                                              469,225      13,700       X   X 28-5284      12600      1100
                                                                3,425         100       X   X 28-1500        100

  ALLIANCE PHARMACEUTICAL CORP   COM NEW        018773309          31          20       X   X 28-5284         20

  ALLIANCE WORLD DLR GV FD II    COM            01879R106      60,455       6,337       X     28-5284       6337
                                                                6,525         684       X   X 28-4580        684

  ALLIANCE WORLD DLR GV FD INC   COM            018796102      44,083       4,078       X     28-5284       4078

  ALLIANT ENERGY CORP            COM            018802108     175,351       6,823       X     28-5284       2823      1500      2500
                                                               46,825       1,822       X   X 28-5284       1222       600
                                                               33,204       1,292       X     28-4580       1292

  ALLIANT TECHSYSTEMS INC        COM            018804104     355,238       5,568       X   X 28-5284       4968       600

  ALLIED CAP CORP NEW            COM            01903Q108      50,283       2,220       X     28-5284       1740       480
                                                              491,686      21,708       X   X 28-5284       2405      5400     13903

  ALLIED DEVICES CORP            COM            019120104         360       1,000       X     28-5284       1000
                                                               36,000     100,000       X   X 28-5284     100000
0                COLUMN TOTAL                              87,633,782
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    12 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ALLIED IRISH BKS P L C         SPON ADR ORD   019228402   1,561,053      59,243       X     28-5284      43343               15900
                                                              339,915      12,900       X   X 28-5284                 9000      3900
                                                                1,845          70       X   X 28-1500         70

  ALLIED WASTE INDS INC          COM PAR$.01NEW 019589308     854,381      88,998       X     28-5284      88998

  ALLMERICA FINL CORP            COM            019754100     456,964       9,891       X     28-5284       6700      1191      2000
                                                              320,027       6,927       X   X 28-5284       4788                2139

  ALLOY INC                      COM            019855105   4,360,880     302,000       X     28-5284     302000

  ALLSTATE CORP                  COM            020002101   8,993,277     243,193       X     28-5284     223737      1600     17856
                                                           20,997,762     567,814       X   X 28-5284     279713    256276     31825
                                                               97,109       2,626       X   X 28-1500       2626
                                                              376,530      10,182       X     28-4580      10182
                                                              299,390       8,096       X   X 28-4580       7726       370

  ALLTEL CORP                    COM            020039103  20,261,183     431,089       X     28-5284     375951      6269     48869
                                                           10,274,388     218,604       X   X 28-5284     125034     76784     16786
                                                                5,170         110       X   X 28-1500        110
                                                               68,855       1,465       X     28-4580       1465
                                                              119,568       2,544       X   X 28-4580       2444       100

  ALLTEL CORP                    PFD C CV $2.06 020039509      13,500          50       X   X 28-5284                             50

  ALTANA AKTIENGESELLSCHAFT      SPONSORED ADR  02143N103       5,206         100       X   X 28-5284        100

  ALTEON INC                     COM            02144G107      28,840      14,000       X   X 28-1500      14000

  ALTERA CORP                    COM            021441100      44,336       3,260       X     28-5284       3260
                                                               77,778       5,719       X   X 28-5284       1930                3789
                                                                1,795         132       X   X 28-1500        132

  AMAZON COM INC                 COM            023135106      46,833       2,882       X     28-5284       2882
                                                               41,438       2,550       X   X 28-5284       2150                 400

  AMBAC FINL GROUP INC           COM            023139108     243,936       3,630       X     28-5284       2930                 700
                                                            1,648,416      24,530       X   X 28-5284       3800      2250     18480

  AMCAST INDL CORP               COM            023395106      50,380      11,000       X   X 28-1500      11000
0                COLUMN TOTAL                              71,590,755
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    13 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AMERADA HESS CORP              COM            023551104   2,142,773      25,973       X     28-5284      25573                 400
                                                            1,277,183      15,481       X   X 28-5284       4522       292     10667
                                                               36,300         440       X   X 28-4580        440

  AMEREN CORP                    COM            023608102     689,407      16,029       X     28-5284      13379       350      2300
                                                              667,816      15,527       X   X 28-5284      11672      3255       600
                                                               43,010       1,000       X     28-4580       1000

  AMERICA ONLINE INC DEL         NOTE        12 02364JAC8   5,075,000     100,000       X   X 28-5284                         100000

  AMERICA FIRST TAX EX IVS L P   BEN UNIT CTF   02364V107       3,865         500       X   X 28-5284        500

  AMERICA MOVIL S A DE C V       SPON ADR L SHS 02364W105      16,080       1,200       X     28-5284       1200
                                                                2,680         200       X   X 28-5284                  200

  AMERICA MOVIL S A DE C V       SPON ADR A SHS 02364W204       4,240         320       X     28-5284        320

  AMERICA ONLINE LATIN AMERICA   CL A           02365B100       6,400      10,000       X   X 28-5284                10000

  AMERICA WEST HLDG CORP         CL B           023657208         548         200       X   X 28-5284                  200

  AMERICA FIRST APT INV L P      BEN UNIT CTF   023929102       5,775         500       X   X 28-5284        500

  AMER BIO MEDICA CORP           COM            024600108      64,350      45,000       X   X 28-5284      45000

  AMERICAN CAPITAL STRATEGIES    COM            024937104      34,338       1,250       X     28-5284       1250
                                                              156,579       5,700       X   X 28-5284       2000      3700
                                                                5,494         200       X     28-1500                  200

  AMERICAN EAGLE OUTFITTERS NE   COM            02553E106     538,753      25,485       X     28-5284      24125                1360

  AMERICAN ELEC PWR INC          COM            025537101   5,842,920     146,000       X     28-5284     106714      2320     36966
                                                            2,776,227      69,371       X   X 28-5284      33925     32386      3060
                                                               70,555       1,763       X     28-1500                 1763
                                                              564,162      14,097       X     28-4580      13597                 500
                                                              530,505      13,256       X   X 28-4580      11214       500      1542

  AMERICAN EXPRESS CO            COM            025816109  37,198,544   1,024,189       X     28-5284     879326     53178     91685
                                                           20,013,773     551,040       X   X 28-5284     285500    191472     74068
                                                               66,102       1,820       X     28-1500                 1820
                                                              326,480       8,989       X     28-4580       8989
                                                              730,032      20,100       X   X 28-4580      19650       450
0                COLUMN TOTAL                              78,889,891
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    14 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AMERICAN FINL GROUP INC OHIO   COM            025932104      43,833       1,834       X     28-5284        368      1466
                                                                2,868         120       X   X 28-5284        120
                                                                4,780         200       X   X 28-1500        200

  AMERICAN GREETINGS CORP        CL A           026375105       6,664         400       X     28-5284        400
                                                               77,636       4,660       X   X 28-5284        160       200      4300

  AMERICAN HEALTHWAYS INC        COM            02649V104     160,200       9,000       X   X 28-5284       9000

  AMERICAN INCOME FD INC         COM            02672T109       5,282         617       X   X 28-5284        617

  AMERICAN INSD MTG INVS L P 8   DEPOSITORY UNI 02686G101         809         165       X     28-5284        165

  AMERICAN INTL GROUP INC        COM            026874107 278,707,473   4,084,823       X     28-5284    3130661     32786    921376
                                                          139,293,933   2,041,535       X   X 28-5284    1399312    331550    310673
                                                            1,431,192      20,976       X     28-1500                20976
                                                            6,264,742      91,818       X     28-4580      64964               26854
                                                            2,376,860      34,836       X   X 28-4580      29011      5825

  AMERICAN ISRAELI PAPER MLS L   ORD IS 10      027069509      45,038       1,719       X     28-5284       1719
                                                               15,720         600       X   X 28-5284        600

  AMERICAN LD LEASE INC          COM            027118108         930          61       X   X 28-5284         61

  AMERICAN LOCKER GROUP          COM            027284108     173,600      12,400       X     28-5284      12400

  AMERICAN MED SYS HLDGS INC     COM            02744M108      29,087       1,450       X   X 28-5284                           1450

  AMERICAN MTG ACCEP CO          SH BEN INT     027568104       8,710         650       X   X 28-5284        400                 250

  AMERICAN NATL INS CO           COM            028591105      28,890         300       X   X 28-5284        300

  AMERICAN PAC CORP              COM            028740108       1,710         180       X     28-5284        180

  AMERICAN PHARMACEUTICALS PTN   COM            02886P109      32,136       2,600       X     28-5284       2600

  AMERICAN RETIREMENT CORP       COM            028913101           3           1       X     28-5284                              1
                                                                  250         100       X   X 28-5284                  100

  AMERICAN PWR CONVERSION CORP   COM            029066107   3,108,496     246,120       X     28-5284     246120
                                                              457,762      36,244       X   X 28-5284       3744      7500     25000
                                                               56,835       4,500       X   X 28-1500       4500
0                COLUMN TOTAL                             432,335,439
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    15 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AMERICAN SOFTWARE INC          CL A           029683109       5,248       1,600       X   X 28-5284       1600

  AMERICAN STD COS INC DEL       COM            029712106     210,280       2,800       X     28-5284       2800
                                                              865,528      11,525       X   X 28-5284       6700                4825
                                                               30,040         400       X   X 28-1500        400

  AMERICAN SUPERCONDUCTOR CORP   COM            030111108      16,926       3,100       X     28-5284       3100
                                                               49,140       9,000       X   X 28-5284       3000                6000
                                                                1,365         250       X   X 28-1500        250

  AMERICAN WTR WKS INC           COM            030411102     273,563       6,331       X     28-5284       2605                3726
                                                            1,059,812      24,527       X   X 28-5284       5819      6270     12438
                                                               64,901       1,502       X   X 28-1500       1502
                                                               86,420       2,000       X   X 28-4580       2000

  AMERICANWEST BANCORPORATION    COM            03058P109   1,371,929     105,533       X     28-1500     105533

  AMERICREDIT CORP               COM            03060R101   1,571,501      56,025       X   X 28-5284                          56025

  AMERISTAR CASINOS INC          COM            03070Q101     116,240       4,000       X     28-5284       4000

  AMERIPATH INC                  COM            03071D109     103,200       4,300       X     28-5284       4300

  AMERUS GROUP CO                COM            03072M108     225,531       6,079       X     28-5284       1533                4546
                                                               19,960         538       X   X 28-5284        538

  AMERISOURCEBERGEN CORP         COM            03073E105     169,328       2,228       X     28-5284       1678                 550
                                                               63,536         836       X   X 28-5284        651                 185

  AMERISERV FINL INC             COM            03074A102      18,206       3,975       X     28-5284       3975
                                                               15,480       3,380       X   X 28-5284       3380

  AMERIGAS PARTNERS L P          UNIT L P INT   030975106      91,496       3,985       X     28-5284       3985
                                                               72,324       3,150       X   X 28-5284       3150
                                                              160,261       6,980       X   X 28-1500       6980

  AMETEK INC NEW                 COM            031100100     126,650       3,400       X   X 28-5284       3400

  AMGEN INC                      COM            031162100  30,290,883     723,278       X     28-5284     536190      5250    181838
                                                           24,448,748     583,781       X   X 28-5284     426396     95335     62050
                                                              400,875       9,572       X   X 28-1500       9572
                                                              420,685      10,045       X     28-4580      10045
                                                              808,284      19,300       X   X 28-4580       7700     11600
0                COLUMN TOTAL                              63,158,340
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    16 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AMKOR TECHNOLOGY INC           COM            031652100       1,804         290       X   X 28-5284                            290

  AMPAL AMERN ISRAEL CORP        PFD CV 6.50%   032015307      41,009       3,566       X     28-5284       3566

  AMPCO-PITTSBURGH CORP          COM            032037103       2,400         200       X     28-5284                  200
                                                                7,200         600       X   X 28-5284        600

  AMPHENOL CORP NEW              CL A           032095101       3,600         100       X     28-5284        100
                                                              265,536       7,376       X   X 28-5284        400                6976

  AMPLIDYNE INC                  COM            032103103          13          23       X   X 28-5284         23

  AMSOUTH BANCORPORATION         COM            032165102     425,690      19,021       X     28-5284      15382                3639
                                                               79,449       3,550       X   X 28-5284        550      3000
                                                              212,252       9,484       X     28-1500                 9484

  AMSURG CORP                    COM            03232P405       6,565         250       X   X 28-5284        250

  AMYLIN PHARMACEUTICALS INC     COM            032346108      54,700       5,000       X   X 28-1500       5000

  AMVESCAP PLC                   SPONSORED ADR  03235E100      16,450       1,000       X     28-5284       1000

  ANADARKO PETE CORP             COM            032511107   5,674,627     115,104       X     28-5284     108055                7049
                                                            3,612,458      73,275       X   X 28-5284      43006     23633      6636
                                                               59,160       1,200       X     28-4580       1200
                                                               13,952         283       X   X 28-4580        130       153

  ANALOG DEVICES INC             COM            032654105     265,102       8,926       X     28-5284       7626       800       500
                                                              383,486      12,912       X   X 28-5284      10880      2032

  ANDERSONS INC                  COM            034164103      85,666       6,299       X   X 28-1500       6299

  ANDREW CORP                    COM            034425108      52,548       3,522       X     28-5284       3522
                                                                7,385         495       X   X 28-5284        495

  ANDRX GROUP                    COM            034553107       8,415         312       X     28-5284         12                 300
                                                               48,951       1,815       X   X 28-5284                           1815

  ANGLO AMERN PLC                ADR            03485P102       2,910         178       X     28-5284        178
                                                              515,156      31,508       X   X 28-5284      31116       392
                                                                4,251         260       X   X 28-1500        260
0                COLUMN TOTAL                              11,850,735
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    17 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ANGLOGOLD LTD                  SPONSORED ADR  035128206      16,300         625       X     28-5284        625
                                                               11,971         459       X   X 28-5284        459

  ANHEUSER BUSCH COS INC         COM            035229103  32,529,250     650,585       X     28-5284     519679     15810    115096
                                                           26,147,250     522,945       X   X 28-5284     321903    157300     43742
                                                              145,150       2,903       X     28-1500                 2903
                                                            1,032,300      20,646       X     28-4580      20646
                                                              356,500       7,130       X   X 28-4580       6900       230

  ANIXTER INTL INC               COM            035290105       6,016         256       X     28-5284        256
                                                                4,700         200       X   X 28-1500        200

  ANNALY MTG MGMT INC            COM            035710409      19,400       1,000       X     28-5284       1000
                                                              432,620      22,300       X   X 28-5284      13300                9000
                                                               15,520         800       X   X 28-1500        800

  ANNTAYLOR STORES CORP          COM            036115103     149,801       5,900       X     28-5284       5900

  ANTHEM INC                     COM            03674B104     311,218       4,612       X     28-5284       4304                 308
                                                               23,820         353       X   X 28-5284        353

  ANTEON INTL CORP               COM            03674E108       2,528         100       X     28-5284        100

  ANTHRACITE CAP INC             COM            037023108      39,750       3,000       X     28-5284       3000
                                                               11,925         900       X   X 28-1500        900
                                                            8,590,664     648,352       X                 648352

  ANTIGENICS INC DEL             COM            037032109       1,162         118       X     28-5284        118

  ANWORTH MORTGAGE ASSET CP      COM            037347101      69,950       5,000       X     28-4580       5000

  AON CORP                       COM            037389103   1,463,653      49,649       X     28-5284      48249                1400
                                                            1,344,259      45,599       X   X 28-5284      36287                9312

  APACHE CORP                    COM            037411105     397,647       6,918       X     28-5284       5573                1345
                                                            2,297,878      39,977       X   X 28-5284      30078       165      9734
                                                              356,376       6,200       X   X 28-1500       6200

  APARTMENT INVT & MGMT CO       CL A           03748R101      13,924         283       X     28-5284         97                 186
                                                                5,510         112       X   X 28-5284        112

  APCO ARGENTINA INC CAYMAN IS   ORD            037489101      60,000       3,000       X     28-5284       3000

  APEX MUN FD INC                COM            037580107      16,780       2,000       X   X 28-5284                 2000
0                COLUMN TOTAL                              75,873,822
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    18 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  APOGENT TECHNOLOGIES INC       COM            03760A101      41,140       2,000       X     28-5284                           2000
                                                              334,263      16,250       X   X 28-5284                          16250
                                                               22,627       1,100       X   X 28-1500       1100

  APOLLO GROUP INC               CL A           037604105   5,477,606     138,955       X     28-5284     138055                 900
                                                              311,418       7,900       X   X 28-5284       6800                1100

  APPIANT TECHNOLOGIES INC       COM            03782R108         300       1,000       X   X 28-5284       1000

  APPLE COMPUTER INC             COM            037833100     159,250       8,987       X     28-5284       7795                1192
                                                              269,964      15,235       X   X 28-5284       3735     10000      1500

  APPLEBEES INTL INC             COM            037899101      58,523       2,550       X     28-5284       2550
                                                              213,435       9,300       X   X 28-5284       9300

  APPLIED INNOVATION INC         COM            037916103         426         100       X     28-5284        100
                                                                5,964       1,400       X   X 28-5284       1400

  APPLERA CORP                   COM AP BIO GRP 038020103     439,987      22,575       X     28-5284      22575
                                                              408,199      20,944       X   X 28-5284       6244      5200      9500
                                                               23,583       1,210       X   X 28-1500       1210

  APPLERA CORP                   COM CE GEN GRP 038020202      13,320       1,110       X     28-5284       1110
                                                               51,840       4,320       X   X 28-5284       3520       800

  APPLICA INC                    COM            03815A106       1,240         100       X     28-5284        100

  APPLIED DIGITAL SOLUTIONS      COM            038188108      16,251      25,001       X     28-5284      25001
                                                                  975       1,500       X   X 28-5284       1500

  APPLIED MICRO CIRCUITS CORP    COM            03822W109      16,981       3,590       X     28-5284       3590
                                                                  899         190       X   X 28-1500        190

  APPLIED MATLS INC              COM            038222105  46,620,626   2,451,137       X     28-5284    1872713      8460    569964
                                                           14,512,032     762,988       X   X 28-5284     385478    295071     82439
                                                            1,072,823      56,405       X     28-1500                56405
                                                              231,854      12,190       X     28-4580      11830                 360
                                                               69,043       3,630       X   X 28-4580       3030       400       200

  APPLIED MOLECULAR EVOLUTION    COM            03823E108       2,312         400       X     28-5284        400

  APTARGROUP INC                 COM            038336103      67,896       2,208       X   X 28-5284       1208      1000
0                COLUMN TOTAL                              70,444,777
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    19 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AQUILA INC                     COM            03840P102      60,608       7,576       X     28-5284       4576                3000
                                                               73,992       9,249       X   X 28-5284       9249

  ARACRUZ CELULOSE S A           SPON ADR CL B  038496204      24,780       1,239       X     28-5284       1239

  ARADIGM CORP                   COM            038505103       4,363       1,000       X     28-5284       1000

  ARAMARK CORP                   CL B           038521100     501,875      20,075       X     28-5284      20075
                                                            1,219,700      48,788       X   X 28-5284      39688                9100

  ARBITRON INC                   COM            03875Q108       2,246          72       X     28-5284         72

  ARCH CHEMICALS INC             COM            03937R102      15,462         626       X     28-5284        626
                                                              160,896       6,514       X   X 28-5284       6514

  ARCH COAL INC                  COM            039380100      18,123         798       X     28-5284        798
                                                                4,996         220       X   X 28-5284        110       110

  ARCHER DANIELS MIDLAND CO      COM            039483102     314,954      24,625       X     28-5284      22855       928       842
                                                              546,107      42,698       X   X 28-5284      14109      1650     26939
                                                               12,214         955       X   X 28-1500        955

  ARCHSTONE SMITH TR             COM            039583109     103,943       3,893       X     28-5284       2893                1000
                                                            3,037,232     113,754       X   X 28-5284       3792      9962    100000

  ARDEN RLTY INC                 COM            039793104     261,171       9,180       X   X 28-5284       8180                1000

  ARGONAUT GROUP INC             COM            040157109       2,892         135       X     28-5284        135
                                                               10,710         500       X   X 28-5284                            500

  ARIAD PHARMACEUTICALS INC      COM            04033A100      41,600      10,000       X     28-5284      10000

  ARIBA INC                      COM            04033V104      38,599      12,100       X     28-5284      12100
                                                               11,293       3,540       X   X 28-5284       3340       200
                                                                1,914         600       X   X 28-1500        600

  ARKANSAS BEST CORP DEL         COM            040790107     132,496       5,200       X     28-5284       5200
                                                                2,548         100       X   X 28-5284        100

  ARMOR HOLDINGS INC             COM            042260109     280,500      11,000       X   X 28-5284      11000
0                COLUMN TOTAL                               6,885,214
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    20 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ARMSTRONG HLDGS INC            COM            042384107      10,751       6,006       X     28-5284       6006
                                                                4,296       2,400       X   X 28-5284       2400
                                                                1,074         600       X   X 28-4580        600

  ARQULE INC                     COM            04269E107       3,375         500       X   X 28-5284        500

  ARRIS GROUP INC                COM            04269Q100      15,680       3,500       X     28-5284       3500
                                                                4,480       1,000       X   X 28-1500       1000

  ARRAY BIOPHARMA INC            COM            04269X105      13,496       1,400       X     28-5284       1400
                                                                2,410         250       X   X 28-1500        250

  ARROW ELECTRS INC              COM            042735100       4,150         200       X     28-5284        200
                                                                4,150         200       X   X 28-5284                            200

  ARROW FINL CORP                COM            042744102       5,099         150       X     28-5284        150

  ARTESIAN RESOURCES CORP        CL A           043113208      14,495         500       X   X 28-5284        500

  ARTESYN TECHNOLOGIES INC       COM            043127109   1,196,570     183,242       X     28-5284     183242

  ARVINMERITOR INC               COM            043353101     111,696       4,654       X     28-5284       4341                 313
                                                              100,920       4,205       X   X 28-5284       1564      2142       499
                                                                  648          27       X     28-4580         27

  ASCENTIAL SOFTWARE CORP        COM            04362P108       5,714       2,048       X     28-5284       2048
                                                               22,320       8,000       X   X 28-5284       8000

  ASHANTI GOLDFIELDS LTD         GLOB DEP RCPT  043743202      41,580       8,400       X   X 28-5284                           8400

  ASHLAND INC                    COM            044204105     571,577      14,113       X     28-5284       6902                7211
                                                              117,126       2,892       X   X 28-5284        859       449      1584

  ASIA TIGERS FD INC             COM            04516T105       7,650       1,000       X   X 28-5284       1000

  ASSOCIATED BANC CORP           COM            045487105     121,841       3,231       X     28-5284       1665                1566
                                                                8,296         220       X   X 28-5284                  220

  ASSOCIATED ESTATES RLTY CORP   COM            045604105       2,120         200       X   X 28-5284        200

  ASTORIA FINL CORP              COM            046265104     102,560       3,200       X   X 28-5284       3200
0                COLUMN TOTAL                               2,494,074
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    21 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ASTRAZENECA PLC                SPONSORED ADR  046353108      65,190       1,590       X     28-5284       1590
                                                               53,300       1,300       X   X 28-5284        900       300       100
                                                                4,715         115       X   X 28-1500        115

  ASTROPOWER INC                 COM            04644A101      27,987       1,425       X     28-5284        675       750
                                                               18,403         937       X   X 28-5284        937

  ASYST TECHNOLOGY CORP          COM            04648X107       6,105         300       X     28-5284        300

  AT & T LATIN AMER CORP         COM            04649A106       3,348       6,200       X     28-5284       6200

  ATLANTIS PLASTICS INC          COM            049156102       4,050       1,000       X     28-5284       1000

  ATLAS PIPELINE PARTNERS LP     UNIT L P INT   049392103       2,305         100       X   X 28-5284                  100

  ATMEL CORP                     COM            049513104      14,648       2,340       X     28-5284       2340
                                                                7,512       1,200       X   X 28-5284       1200
                                                                3,130         500       X   X 28-1500        500

  ATMOS ENERGY CORP              COM            049560105     750,080      32,000       X     28-5284      27000                5000
                                                               23,792       1,015       X   X 28-5284         15      1000

  ATRIX LABS INC                 COM            04962L101   4,485,600     201,600       X     28-5284     201600

  AURORA FOODS INC               COM            05164B106          12           8       X     28-5284          8

  AUTODESK INC                   COM            052769106       6,413         484       X     28-5284        484
                                                                5,300         400       X   X 28-5284        400

  AUTOLIV INC                    COM            052800109     165,967       6,586       X     28-5284       6586
                                                               84,596       3,357       X   X 28-5284       3072       285

  AUTOMATIC DATA PROCESSING IN   COM            053015103  55,895,162   1,283,471       X     28-5284    1044028     34268    205175
                                                           56,682,372   1,301,547       X   X 28-5284     994309    216912     90326
                                                              106,915       2,455       X   X 28-1500       2455
                                                              656,037      15,064       X     28-4580      15064
                                                            1,933,576      44,399       X   X 28-4580      17534       120     26745

  AUTONOMY CORP PLC              ADR            05329Q105       7,562       2,000       X     28-5284       2000

  AUTONATION INC                 COM            05329W102     234,900      16,200       X   X 28-5284       1000               15200
0                COLUMN TOTAL                             121,248,977
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    22 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AUTOZONE INC                   COM            053332102     105,901       1,370       X     28-5284       1370
                                                               77,300       1,000       X   X 28-5284                 1000
                                                                3,092          40       X   X 28-1500         40

  AVALON HLDGS CORP              CL A           05343P109         120          50       X   X 28-5284         50

  AVANEX CORP                    COM            05348W109       6,402       3,300       X     28-5284       3300
                                                                1,940       1,000       X   X 28-5284       1000
                                                                  388         200       X     28-1500                  200

  AVANT IMMUNOTHERAPEUTICS INC   COM            053491106      11,760      10,500       X   X 28-5284        500               10000
                                                                  224         200       X   X 28-1500        200

  AVAYA INC                      COM            053499109     100,787      20,361       X     28-5284      18512       164      1685
                                                              128,225      25,904       X   X 28-5284      13084      9032      3788
                                                                1,643         332       X     28-1500                  332
                                                               10,044       2,029       X     28-4580        517                1512
                                                                3,658         739       X   X 28-4580        565       174

  AVENTIS                        SPONSORED ADR  053561106      89,587       1,272       X     28-5284        580                 692
                                                               26,763         380       X   X 28-5284        330                  50
                                                               12,677         180       X   X 28-1500        180

  AVERY DENNISON CORP            COM            053611109  16,997,093     270,870       X     28-5284     268550       320      2000
                                                            2,027,013      32,303       X   X 28-5284      22068      5400      4835
                                                               76,555       1,220       X     28-4580       1220
                                                              133,030       2,120       X   X 28-4580       2000       120

  AVIALL INC NEW                 COM            05366B102      14,280       1,020       X     28-5284       1020

  AVID TECHNOLOGY INC            COM            05367P100      75,562       8,160       X   X 28-5284       5000      3160

  AVISTA CORP                    COM            05379B107      12,420         900       X     28-5284        900
                                                                6,900         500       X   X 28-5284        500

  AVNET INC                      COM            053807103       5,717         260       X     28-5284        260

  AVOCENT CORP                   COM            053893103      35,820       2,250       X   X 28-5284                           2250

  AVON PRODS INC                 COM            054303102   5,153,528      98,651       X     28-5284      39448       100     59103
                                                              297,350       5,692       X   X 28-5284       2225                3467
                                                               11,650         223       X   X 28-1500        223
0                COLUMN TOTAL                              25,427,429
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    23 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  AWARE INC MASS                 COM            05453N100       1,900         500       X     28-5284        500

  AXA                            SPONSORED ADR  054536107      74,679       4,110       X     28-5284       3596                 514
                                                               28,454       1,566       X   X 28-5284        690       726       150
                                                               39,156       2,155       X   X 28-1500       2155

  AXCELIS TECHNOLOGIES INC       COM            054540109     219,875      19,458       X     28-5284      19223       235
                                                              242,001      21,416       X   X 28-5284       4741     16675

  AZTAR CORP                     COM            054802103      14,144         680       X   X 28-1500        680

  AXCAN PHARMA INC               COM            054923107     119,520       8,000       X     28-5284       8000

  BB&T CORP                      COM            054937107   9,977,135     258,475       X     28-5284     254303                4172
                                                            2,496,069      64,665       X   X 28-5284      59009                5656
                                                               66,315       1,718       X     28-1500                 1718
                                                              135,100       3,500       X     28-4580       3500

  AXEDA SYSTEMS INC              COM            054959101         869         455       X   X 28-5284        455

  B A S F  A G                   SPONSORED ADR  055262505       4,883         105       X     28-5284        105
                                                                4,650         100       X   X 28-5284                            100

  BCE INC                        COM            05534B109      12,194         700       X     28-5284        700
                                                              181,168      10,400       X   X 28-5284       7700      1500      1200

  BEI TECHNOLOGIES INC           COM            05538P104       5,725         500       X   X 28-5284                            500

  BG PLC                         ADR FIN INST N 055434203      16,974         784       X     28-5284        784

  BISYS GROUP INC                COM            055472104      19,247         578       X     28-5284        578
                                                                6,660         200       X   X 28-5284                            200
                                                               17,549         527       X   X 28-1500        527

  BJS WHOLESALE CLUB INC         COM            05548J106   4,612,493     119,805       X     28-5284     105830       497     13478
                                                            1,354,815      35,190       X   X 28-5284      19890     13860      1440
                                                              199,854       5,191       X     28-4580       5191
                                                               20,020         520       X   X 28-4580        520

  BJ SVCS CO                     COM            055482103     697,928      20,600       X     28-5284      20200                 400
                                                               50,820       1,500       X   X 28-5284       1500
0                COLUMN TOTAL                              20,620,197
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    24 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BP PLC                         SPONSORED ADR  055622104 118,233,796   2,341,727       X     28-5284    2041928     77667    222132
                                                          187,685,871   3,717,288       X   X 28-5284    1345486    876743   1495059
                                                              854,190      16,918       X     28-1500                16918
                                                            4,059,245      80,397       X     28-4580      79925                 472
                                                            7,410,973     146,781       X   X 28-4580      92977      4646     49158

  BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107      26,220       2,300       X     28-5284        300                2000
                                                                3,420         300       X   X 28-5284        300

  BRE PROPERTIES INC             CL A           05564E106      77,775       2,500       X     28-5284       2500
                                                               31,110       1,000       X   X 28-5284                 1000

  BNP RESIDENTIAL PPTYS INC      COM            05564T103      12,600       1,000       X     28-5284       1000

  BSB BANCORP                    COM            055652101      13,473         505       X     28-5284                            505
                                                               27,000       1,012       X   X 28-5284       1012
                                                              536,268      20,100       X     28-1500      20100

  BT GROUP PLC                   ADR            05577E101      17,878         469       X     28-5284        469
                                                                9,530         250       X   X 28-5284        250

  BMC SOFTWARE INC               COM            055921100     556,100      33,500       X     28-5284       5100               28400
                                                              124,500       7,500       X   X 28-5284       7500
                                                                9,960         600       X   X 28-1500        600
                                                                1,660         100       X     28-4580        100

  BAKER HUGHES INC               COM            057224107  23,906,248     718,121       X     28-5284     669686      3425     45010
                                                            3,153,595      94,731       X   X 28-5284      60111     28490      6130
                                                               24,335         731       X   X 28-1500        731
                                                              557,574      16,749       X     28-4580      16259                 490
                                                              160,791       4,830       X   X 28-4580       4530       300

  BALDOR ELEC CO                 COM            057741100      25,200       1,000       X     28-5284       1000
                                                               74,844       2,970       X   X 28-5284        270      2700

  BALL CORP                      COM            058498106     335,988       8,100       X     28-5284       8100

  BALLARD PWR SYS INC            COM            05858H104      29,875       1,815       X     28-5284       1815
                                                               50,615       3,075       X   X 28-5284       2950       100        25
                                                               32,920       2,000       X   X 28-4580                           2000

  BALLY TOTAL FITNESS HLDG COR   COM            05873K108       5,613         300       X     28-5284        300
                                                                1,403          75       X   X 28-5284                             75
0                COLUMN TOTAL                             348,050,570
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    25 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BANCO SANTANDER CENT HISPANO   ADR            05964H105      33,108       4,250       X     28-5284       2250                2000
                                                               19,475       2,500       X   X 28-5284                           2500

  BANCORP RHODE ISLAND INC       COM            059690107      67,962       3,000       X   X 28-5284       3000

  BANCORPSOUTH INC               COM            059692103     249,753      12,364       X     28-5284      10540                1824
                                                               14,140         700       X   X 28-1500        700

  BANCROFT CONV FD INC           COM            059695106      65,623       3,409       X     28-5284       3409

  BANDAG INC                     COM            059815100      14,160         500       X   X 28-5284        500

  BANDAG INC                     CL A           059815308      12,725         500       X   X 28-5284        500

  BANK OF AMERICA CORPORATION    COM            060505104 135,195,122   1,921,477       X     28-5284    1802197     11298    107982
                                                          258,677,836   3,676,490       X   X 28-5284    3347564    298282     30644
                                                              333,858       4,745       X     28-1500                 4745
                                                            4,381,669      62,275       X     28-4580      61617                 658
                                                              269,549       3,831       X   X 28-4580       1992      1731       108

  BANK HAWAII CORP               COM            062540109     102,144       3,648       X     28-5284       3648
                                                              133,896       4,782       X   X 28-5284       4782

  BANK OF THE OZARKS INC         COM            063904106      13,404         600       X   X 28-4580        600

  BANK NEW YORK INC              COM            064057102  12,502,553     370,446       X     28-5284     284491      2015     83940
                                                            9,273,724     274,777       X   X 28-5284     195517     57677     21583
                                                               26,798         794       X   X 28-1500        794
                                                              849,825      25,180       X     28-4580      25180
                                                               31,388         930       X   X 28-4580        540       390

  BANK ONE CORP                  COM            06423A103  32,475,388     843,955       X     28-5284     555040      5393    283522
                                                           13,884,469     360,823       X   X 28-5284     272997     43710     44116
                                                              413,814      10,754       X     28-1500                10754
                                                               23,280         605       X   X 28-4580        605

  BANK UTD CORP LITIGATN CONT    RIGHT 99/99/99 065416117          63         700       X     28-5284        700

  BANKATLANTIC BANCORP           SDCV  5.625%12 065908AC9  20,964,450     195,000       X   X 28-5284     195000

  BANKATLANTIC BANCORP           CL A           065908501      12,400       1,000       X     28-5284       1000
0                COLUMN TOTAL                             490,042,576
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    26 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BANKNORTH GROUP INC NEW        COM            06646R107     542,517      20,850       X     28-5284      19250                1600
                                                              240,685       9,250       X   X 28-5284       4600      2000      2650

  BANKUNITED FINL CORP           CL A           06652B103       9,575         500       X   X 28-5284        500

  BAR HBR BANKSHARES             COM            066849100       4,010         200       X     28-5284        200

  BARD C R INC                   COM            067383109      22,802         403       X     28-5284        403
                                                              220,662       3,900       X   X 28-5284        500       800      2600
                                                               28,290         500       X     28-4580        500

  BARNES & NOBLE INC             COM            067774109       7,929         300       X     28-5284        300
                                                               13,215         500       X   X 28-5284        300                 200

  BARNES GROUP INC               COM            067806109      40,190       1,755       X   X 28-5284       1755

  BARNESANDNOBLE COM INC         CL A           067846105       9,447      10,050       X     28-5284      10050

  BARRICK GOLD CORP              COM            067901108     178,411       9,395       X     28-5284       8895                 500
                                                              224,215      11,807       X   X 28-5284      10842       765       200

  BARR LABS INC                  COM            068306109      99,679       1,569       X     28-5284       1569
                                                               47,648         750       X   X 28-5284        300       300       150
                                                                4,765          75       X   X 28-1500         75

  BARRA INC                      COM            068313105     353,210       9,500       X   X 28-5284       4850                4650
                                                                3,718         100       X   X 28-1500        100

  BAUSCH & LOMB INC              COM            071707103     205,537       6,072       X     28-5284       6072
                                                              275,404       8,136       X   X 28-5284       1600      6536

  BAXTER INTL INC                COM            071813109  61,152,488   1,375,759       X     28-5284    1268831     10972     95956
                                                           19,929,958     448,368       X   X 28-5284     278166    135795     34407
                                                              313,906       7,062       X   X 28-1500       7062
                                                            1,314,209      29,566       X     28-4580      28008                1558
                                                              676,929      15,229       X   X 28-4580       7060      8011       158

  BAYER A G                      SPONSORED ADR  072730302     107,569       3,350       X   X 28-5284       3350

  BEA SYS INC                    COM            073325102      61,482       6,465       X     28-5284       6085        80       300
                                                              129,479      13,615       X   X 28-5284       3515       500      9600
                                                                7,133         750       X   X 28-1500        750
0                COLUMN TOTAL                              86,225,062
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    27 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BEACON POWER CORP              COM            073677106         147         667       X   X 28-5284        516                 151

  BEAR STEARNS COS INC           COM            073902108      81,396       1,330       X     28-5284       1330
                                                              518,792       8,477       X   X 28-5284       6883       714       880

  BEASLEY BROADCAST GROUP INC    CL A           074014101       4,425         300       X     28-5284        300

  BEAZER HOMES USA INC           COM            07556Q105      24,000         300       X     28-5284                            300
                                                               24,000         300       X   X 28-5284        300

  BECKMAN COULTER INC            COM            075811109     219,061       4,390       X     28-5284       3090                1300
                                                            1,089,417      21,832       X   X 28-5284       6758     11410      3664
                                                                6,986         140       X   X 28-1500        140
                                                               92,914       1,862       X   X 28-4580       1862

  BECTON DICKINSON & CO          COM            075887109     925,672      26,870       X     28-5284      25870                1000
                                                            2,562,804      74,392       X   X 28-5284      27520     38800      8072

  BED BATH & BEYOND INC          COM            075896100   8,224,640     217,929       X     28-5284     212339       130      5460
                                                            1,500,278      39,753       X   X 28-5284      26877      8600      4276
                                                              130,203       3,450       X     28-4580       3450
                                                                9,058         240       X   X 28-4580                  240

  BELDEN INC                     COM            077459105      10,420         500       X   X 28-5284        500

  BELL MICROPRODUCTS INC         COM            078137106       1,208         150       X   X 28-5284        150

  BELLSOUTH CORP                 COM            079860102  55,944,630   1,776,020       X     28-5284    1514830     17083    244107
                                                           38,050,898   1,207,965       X   X 28-5284     832531    272669    102765
                                                              466,925      14,823       X     28-1500                14823
                                                            3,546,774     112,596       X     28-4580      81080               31516
                                                            1,192,779      37,866       X   X 28-4580      35468      1950       448

  BELO CORP                      COM SER A      080555105      31,654       1,400       X     28-5284       1400
                                                               18,088         800       X   X 28-5284                            800

  BEMIS INC                      COM            081437105     654,313      13,775       X     28-5284      13100                 675
                                                              219,925       4,630       X   X 28-5284        170                4460

  BENCHMARK ELECTRS INC          COM            08160H101      11,600         400       X     28-5284        400

  BENTLEY PHARMACEUTICALS INC    COM            082657107       5,800         500       X     28-5284                            500
0                COLUMN TOTAL                             115,568,807
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    28 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BERKLEY W R CORP               COM            084423102     101,750       1,850       X   X 28-5284       1850

  BERKSHIRE HATHAWAY INC DEL     CL A           084670108           0         333       X     28-5284        136         1       196
                                                                    0       2,637       X   X 28-5284       2561         3        73
                                                                    0           5       X   X 28-1500          5
                                                                    0           3       X     28-4580          3
                                                                    0          11       X   X 28-4580         11

  BERKSHIRE HATHAWAY INC DEL     CL B           084670207  28,418,714      12,721       X     28-5284      10163        35      2523
                                                            5,645,318       2,527       X   X 28-5284       1496       344       687
                                                              239,038         107       X     28-1500                  107
                                                              538,394         241       X     28-4580        241
                                                              294,888         132       X   X 28-4580         67        35        30

  BEST BUY INC                   COM            086516101     307,860       8,481       X     28-5284       7956                 525
                                                              211,085       5,815       X   X 28-5284       5275                 540
                                                                1,634          45       X   X 28-1500         45

  BEVERLY ENTERPRISES INC        COM NEW        087851309       9,132       1,200       X     28-5284       1200

  BHP BILLITON LTD               SPONSORED ADR  088606108      11,399         966       X   X 28-5284                            966
                                                                  791          67       X   X 28-1500         67

  BIG LOTS INC                   COM            089302103     147,600       7,500       X   X 28-5284                           7500

  BIO TECHNOLOGY GEN CORP        COM            090578105       3,005         500       X     28-5284                            500

  BIOGEN INC                     COM            090597105     194,307       4,690       X     28-5284       4370       320
                                                              290,839       7,020       X   X 28-5284       3400      2020      1600

  BIOMET INC                     COM            090613100     720,416      26,564       X     28-5284      23420                3144
                                                              476,309      17,563       X   X 28-5284      13600                3963

  BIOPURE CORP                   CL A           09065H105      80,325      10,500       X   X 28-1500      10500

  BIOSPHERE MEDICAL INC          COM            09066V103       1,155         300       X     28-5284        300

  BIOTECH HOLDERS TR             DEPOSTRY RCPTS 09067D201      70,720         850       X     28-5284        850
                                                               83,200       1,000       X   X 28-5284        900       100

  BIOVAIL CORP                   COM            09067J109      47,147       1,628       X     28-5284       1628
                                                              362,000      12,500       X   X 28-5284       3000                9500
0                COLUMN TOTAL                              38,257,026
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    29 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BIOSITE INC                    COM            090945106      14,075         500       X   X 28-5284        500
                                                               11,260         400       X   X 28-1500        400

  BIOMIRA INC                    COM            09161R106      16,680       6,000       X     28-5284       6000
                                                                  834         300       X   X 28-5284        300

  BLACK & DECKER CORP            COM            091797100     384,636       7,980       X     28-5284       7880       100
                                                              774,092      16,060       X   X 28-5284       3385     10875      1800
                                                                3,229          67       X   X 28-1500         67
                                                                7,230         150       X     28-4580        150

  BLACK BOX CORP DEL             COM            091826107      12,219         300       X   X 28-5284                            300

  BLACK HILLS CORP               COM            092113109     127,953       3,697       X     28-5284       3697
                                                              114,213       3,300       X   X 28-5284       1800      1500

  BLACKROCK ADVANTAGE TERM TR    COM            09247A101      16,731       1,430       X     28-5284       1430

  BLACKROCK FLA INVT QUALITY M   COM            09247B109      51,549       3,455       X     28-5284       3455
                                                               76,092       5,100       X   X 28-5284       5100

  BLACKROCK INVT QUALITY MUN T   COM            09247D105     319,977      23,356       X     28-5284      23356
                                                              184,073      13,436       X   X 28-5284      13436

  BLACKROCK NY INVT QUALITY MU   COM            09247E103     304,211      20,908       X     28-5284      20908
                                                              167,500      11,512       X   X 28-5284      11512

  BLACKROCK INCOME TR INC        COM            09247F100     246,269      31,452       X     28-5284      31452
                                                               22,707       2,900       X   X 28-5284        400       500      2000

  BLACKROCK FL INSD MUN 2008 T   COM            09247H106     703,358      44,943       X     28-5284      27743               17200
                                                              182,589      11,667       X   X 28-5284       6412      5255

  BLACKROCK INVT QUALITY TERM    COM            09247J102   4,598,903     489,245       X     28-5284     466245               23000
                                                              940,000     100,000       X   X 28-5284                         100000
                                                              470,000      50,000       X     28-4580      50000

  BLACKROCK INSD MUN 2008 TRM    COM            09247K109      74,410       4,565       X     28-5284       4565
                                                              154,100       9,454       X   X 28-5284       9454

  BLACKROCK NY INSD MUN 2008 T   COM            09247L107      20,618       1,300       X     28-5284       1300
                                                               33,544       2,115       X   X 28-5284       2115
0                COLUMN TOTAL                              10,033,052
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    30 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                              
  BLACKROCK MUN TARGET TERM TR   COM            09247M105   1,949,981     181,225       X     28-5284     181225
                                                              680,323      63,227       X   X 28-5284      62327       900

  BLACKROCK STRATEGIC TERM TR    COM            09247P108  17,178,291   1,751,100       X     28-5284    1701100               50000
                                                            3,139,200     320,000       X   X 28-5284                         320000
                                                              490,500      50,000       X     28-4580      50000

  BLACKROCK CALIF INVT QUALITY   COM            09247U107      57,128       3,700       X     28-5284       3700

  BLACKROCK INC                  CL A           09247X101     181,630       4,100       X     28-5284       4100
                                                              287,950       6,500       X   X 28-1500       6500
                                                          218,620,500   4,935,000       X                4935000

  BLACKROCK INSD MUN TERM TR I   COM            092474105   1,865,022     173,652       X     28-5284     173652
                                                              798,025      74,304       X   X 28-5284      74304

  BLACKROCK CALIF MUN INCOME T   SH BEN INT     09248E102      94,500       7,000       X   X 28-1500       7000

  BLACKROCK MUN INCOME TR        SH BEN INT     09248F109   1,395,887     103,938       X     28-5284     103938
                                                            1,191,241      88,700       X   X 28-5284      65700     23000
                                                              228,310      17,000       X   X 28-1500      17000

  BLACKROCK FLA MUN INCOME TR    SH BEN INT     09248H105     207,340      14,000       X   X 28-5284      14000

  BLACKROCK N J MUN INCOME TR    SH BEN INT     09248J101      35,280       2,450       X     28-5284       2450
                                                              201,312      13,980       X   X 28-5284      13980
                                                              100,800       7,000       X   X 28-1500       7000

  BLACKROCK N Y MUN INCOME TR    SH BEN INT     09248L106      33,384       2,400       X     28-5284       2400

  BLACKROCK HIGH YIELD TR        SH BEN INT     09248N102      69,223       7,129       X     28-5284       7129

  BLACKROCK PA STRATEGIC MUN T   COM            09248R103     189,197      13,700       X     28-5284      13700
                                                              124,290       9,000       X   X 28-5284       9000

  BLACKROCK STRATEGIC MUN TR     COM            09248T109      50,580       3,600       X   X 28-5284       3600

  BLAIR CORP                     COM            092828102  15,548,240     607,828       X     28-5284     592028               15800
                                                              422,070      16,500       X   X 28-5284      16500

  BLOCK H & R INC                COM            093671105   1,367,701      29,636       X     28-5284      29136                 500
                                                            1,150,058      24,920       X   X 28-5284       3670      8660     12590
                                                               18,460         400       X   X 28-1500        400
0                COLUMN TOTAL                             267,676,423
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    31 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BLUE CHIP VALUE FD INC         COM            095333100      29,341       4,810       X     28-5284       4810

  BLUE DOLPHIN ENERGY CO         COM NEW        095395208          26          36       X   X 28-1500         36

  BOB EVANS FARMS INC            COM            096761101       3,148         100       X     28-5284        100

  BOEING CO                      COM            097023105  12,965,580     288,124       X     28-5284     225291      1775     61058
                                                           12,039,480     267,544       X   X 28-5284     188167     60596     18781
                                                              496,620      11,036       X     28-1500                11036
                                                              699,480      15,544       X     28-4580      15544
                                                               63,630       1,414       X   X 28-4580        484       930

  BOISE CASCADE CORP             COM            097383103       5,180         150       X     28-5284        150

  BORDERS GROUP INC              COM            099709107       2,576         140       X     28-5284        140

  BORG WARNER INC                COM            099724106       4,216          73       X     28-5284         73

  BORLAND SOFTWARE CORP          COM            099849101      75,190       7,300       X     28-5284       7300

  BOSTON BEER INC                CL A           100557107         525          33       X     28-5284         33
                                                                7,950         500       X   X 28-5284                  500

  BOSTON CELTICS LTD PARTNERSH   UNIT LTD PTNR  100577105       1,463         125       X     28-5284        125

  BOSTON COMMUNICATIONS GROUP    COM            100582105      36,180       4,500       X     28-5284       4500

  BOSTON LIFE SCIENCES INC       COM NEW        100843408          13          10       X   X 28-5284                             10

  BOSTON PRIVATE FINL HLDGS IN   COM            101119105      89,064       3,600       X     28-5284       3600
                                                               15,463         625       X   X 28-5284        125                 500

  BOSTON PROPERTIES INC          COM            101121101      31,561         790       X     28-5284        790
                                                            1,047,489      26,220       X   X 28-5284       1420     23500      1300
                                                               15,980         400       X   X 28-1500        400

  BOSTON SCIENTIFIC CORP         COM            101137107     252,445       8,610       X     28-5284       8610
                                                              119,039       4,060       X   X 28-5284       1360       200      2500
                                                               14,513         495       X   X 28-1500        495

  BOWATER INC                    COM            102183100      21,748         400       X     28-5284        400
                                                              168,547       3,100       X   X 28-5284        500                2600
                                                               10,874         200       X   X 28-1500        200
0                COLUMN TOTAL                              28,217,321
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    32 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BOWL AMER INC                  CL A           102565108         522          46       X   X 28-5284                   46

  BOWNE & CO INC                 COM            103043105      23,584       1,600       X     28-5284       1600

  BOYD GAMING CORP               COM            103304101      14,400       1,000       X     28-5284                           1000

  BRADY CORP                     CL A           104674106     245,000       7,000       X     28-5284       1850                5150
                                                              126,070       3,602       X   X 28-5284        617                2985

  BRANDYWINE RLTY TR             SH BEN INT NEW 105368203      31,080       1,200       X     28-5284       1200
                                                               46,620       1,800       X   X 28-5284       1000       800

  BRAZIL FD INC                  COM            105759104      12,750       1,000       X     28-5284       1000

  BRIGGS & STRATTON CORP         COM            109043109      49,075       1,280       X     28-5284        800                 480
                                                              818,559      21,350       X   X 28-5284      19200       300      1850

  BRINKER INTL INC               COM            109641100      67,786       2,135       X     28-5284        835                1300
                                                               63,500       2,000       X   X 28-5284       2000

  BRIO SOFTWARE INC              COM            109704106         980       1,000       X     28-5284       1000

  BRISTOL MYERS SQUIBB CO        COM            110122108 138,382,087   5,384,517       X     28-5284    5029249     72092    283176
                                                          135,934,984   5,289,299       X   X 28-5284    4276571    817678    195050
                                                            1,314,735      51,157       X     28-1500                51157
                                                            4,979,041     193,737       X     28-4580     170437               23300
                                                            3,752,534     146,013       X   X 28-4580     126153     18100      1760

  BRITESMILE INC                 COM            110415106      10,665       4,500       X     28-5284       4500

  BRITISH AWYS PLC               ADR 2ND INSTAL 110419306       7,163         250       X     28-5284        250

  BROADBAND HOLDRS TR            DEPOSITRY RCPT 11130P104      11,578       1,400       X     28-5284       1400

  BROADCOM CORP                  CL A           111320107      98,663       5,625       X     28-5284       5625
                                                               74,019       4,220       X   X 28-5284       1560                2660
                                                                3,508         200       X   X 28-1500        200

  BROADVISION INC                COM            111412102          31         100       X     28-5284                            100
                                                                  310       1,000       X   X 28-5284                 1000
0                COLUMN TOTAL                             286,069,244
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    33 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BROADWING INC                  COM            111620100     716,022     275,393       X     28-5284     273293                2100
                                                              320,268     123,180       X   X 28-5284     114364                8816
                                                              120,676      46,414       X   X 28-1500      46414

  BROADWING INC                  PFD CV DEP1/20 111620407      13,520         800       X   X 28-5284                  800

  BROCADE COMMUNICATIONS SYS I   COM            111621108      47,371       2,710       X     28-5284       2710
                                                                8,740         500       X   X 28-5284                  500
                                                                2,272         130       X   X 28-1500        130

  BROWN & BROWN INC              COM            115236101       6,300         200       X     28-5284        200

  BROWN FORMAN CORP              CL A           115637100  16,170,318     230,675       X     28-5284     106431              124244
                                                            1,096,574      15,643       X   X 28-5284       7893      1000      6750
                                                               10,515         150       X     28-1500                  150

  BROWN FORMAN CORP              CL B           115637209  16,551,099     239,871       X     28-5284     109650              130221
                                                            1,806,696      26,184       X   X 28-5284      10136       800     15248
                                                                6,210          90       X     28-1500                   90

  BROWN SHOE INC NEW             COM            115736100         169           6       X   X 28-1500          6

  BRUKER AXS INC                 COM            11679P101      22,200      14,800       X     28-5284      14800

  BRUNSWICK CORP                 COM            117043109      61,600       2,200       X     28-5284       2200

  BRYN MAWR BK CORP              COM            117665109     339,850       8,433       X     28-5284       8433
                                                              101,556       2,520       X   X 28-5284       2520

  BSQUARE CORP                   COM            11776U102       5,894       2,608       X     28-5284       2608

  BUCKEYE PARTNERS L P           UNIT LTD PARTN 118230101     476,803      13,450       X     28-5284       9950      2000      1500
                                                              249,923       7,050       X   X 28-5284       6050      1000
                                                                9,572         270       X   X 28-1500        270

  BURLINGTON NORTHN SANTA FE C   COM            12189T104   1,840,740      61,358       X     28-5284      57174      1650      2534
                                                            7,154,640     238,488       X   X 28-5284     122763     89760     25965
                                                               47,550       1,585       X   X 28-1500       1585
                                                              168,000       5,600       X     28-4580       5600
                                                              204,000       6,800       X   X 28-4580       6800
0                COLUMN TOTAL                              47,559,078
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    34 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  BURLINGTON RES INC             COM            122014103   3,439,342      90,509       X     28-5284      75003       798     14708
                                                            3,788,828      99,706       X   X 28-5284      68530     20790     10386
                                                               91,580       2,410       X   X 28-1500       2410
                                                               57,760       1,520       X     28-4580       1520
                                                              138,130       3,635       X   X 28-4580       3465       170

  BUSINESS OBJECTS S A           SPONSORED ADR  12328X107     150,335       5,350       X   X 28-5284                           5350

  C&D TECHNOLOGIES INC           COM            124661109      18,020       1,000       X     28-5284       1000
                                                               13,966         775       X   X 28-5284                  775

  CB BANCSHARES INC HAWAII       COM            124785106     125,037       3,300       X   X 28-5284       3300
                                                            2,425,718      64,020       X     28-1500      64020

  CBL & ASSOC PPTYS INC          COM            124830100      56,700       1,400       X     28-5284       1400
                                                               20,250         500       X   X 28-5284        500
                                                              238,950       5,900       X   X 28-1500       5900

  CBRL GROUP INC                 COM            12489V106     140,130       4,605       X     28-5284       3300                1305
                                                               71,511       2,350       X   X 28-5284        350                2000

  CCBT FINL COS INC              COM            12500Q102   1,012,476      35,638       X   X 28-5284      35638

  C COR NET CORP                 COM            125010108       5,600         800       X     28-5284        800
                                                                7,000       1,000       X   X 28-5284                           1000

  CEC ENTMT INC                  COM            125137109      74,340       1,800       X     28-5284       1800
                                                               55,136       1,335       X   X 28-1500       1335

  CE FRANKLIN LTD                COM            125151100         300         100       X     28-5284        100

  CH ENERGY GROUP INC            COM            12541M102      37,332         758       X     28-5284        758
                                                              182,225       3,700       X   X 28-5284       1000      1200      1500

  CIGNA CORP                     COM            125509109  14,214,650     145,911       X     28-5284     110942      8700     26269
                                                           23,025,704     236,355       X   X 28-5284      65376    167391      3588
                                                               97,420       1,000       X     28-4580       1000
                                                              319,440       3,279       X   X 28-4580       2379       900

  CKE RESTAURANTS INC            COM            12561E105     116,076      10,200       X   X 28-5284                          10200
0                COLUMN TOTAL                              49,923,956
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    35 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CLECO CORP NEW                 COM            12561W105      52,560       2,400       X     28-5284       2400
                                                              128,203       5,854       X   X 28-5284       1032      3446      1376
                                                               26,280       1,200       X   X 28-1500       1200

  CMGI INC                       COM            125750109       1,080       2,250       X     28-5284        900                1350
                                                                3,919       8,165       X   X 28-5284       8165
                                                                  564       1,175       X   X 28-1500       1175

  CMS ENERGY CORP                COM            125896100      26,528       2,416       X     28-5284        916                1500
                                                                1,373         125       X   X 28-5284        125

  CPB INC                        COM            125903104     758,175      16,500       X     28-1500      16500

  CSK AUTO CORP                  COM            125965103     131,036       9,400       X   X 28-5284                           9400

  CNF INC                        COM            12612W104   1,412,856      37,200       X     28-5284      37200
                                                              292,446       7,700       X   X 28-5284       6000                1700

  CNB FINL CORP PA               COM            126128107      50,000       2,000       X   X 28-5284       2000

  CNET NETWORKS INC              COM            12613R104      23,416      11,767       X     28-5284         67               11700
                                                                3,781       1,900       X   X 28-5284        100      1800

  CP HOLDRS                      DEP RCPTS  CP  12616K106     117,208       2,600       X     28-5284       2600
                                                               45,080       1,000       X   X 28-5284       1000

  CSG SYS INTL INC               COM            126349109      11,484         600       X   X 28-5284        600

  CSX CORP                       COM            126408103   4,402,000     125,592       X     28-5284      94462      3600     27530
                                                            2,045,869      58,370       X   X 28-5284      25222     26148      7000
                                                              166,417       4,748       X     28-4580       4748

  CTS CORP                       COM            126501105         843          70       X   X 28-1500         70

  CVB FINL CORP                  COM            126600105     128,788       5,671       X     28-5284       5671

  CVS CORP                       COM            126650100  15,045,316     491,677       X     28-5284     273752      8820    209105
                                                            3,093,079     101,081       X   X 28-5284      55660     36301      9120
                                                              219,249       7,165       X   X 28-1500       7165
                                                                3,060         100       X     28-4580        100
                                                               48,195       1,575       X   X 28-4580         45      1530

  CV THERAPEUTICS INC            COM            126667104       8,342         448       X     28-5284        448
0                COLUMN TOTAL                              28,247,147
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    36 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CABLE & WIRELESS PUB LTD CO    SPONSORED ADR  126830207       1,546         200       X     28-5284        200
                                                              207,937      26,900       X   X 28-5284      10400               16500
                                                               15,460       2,000       X   X 28-1500       2000

  CABLEVISION SYS CORP           CL A NY CABLVS 12686C109   4,734,257     500,450       X     28-5284     500450
                                                              109,405      11,565       X   X 28-5284       2965                8600
                                                                  851          90       X   X 28-1500         90

  CABLEVISION SYS CORP           CL A RAINB MED 12686C844         656          75       X     28-5284         75
                                                              280,744      32,085       X   X 28-5284                          32085
                                                                1,216         139       X   X 28-1500        139

  CACHEFLOW INC                  COM            126946102          19          34       X     28-5284         34

  CABOT CORP                     COM            127055101     143,250       5,000       X     28-5284       5000
                                                                1,003          35       X   X 28-5284         35
                                                               11,460         400       X   X 28-4580                  400

  CABOT MICROELECTRONICS CORP    COM            12709P103      82,004       1,900       X     28-5284       1500                 400
                                                                4,834         112       X   X 28-4580                  112

  CACI INTL INC                  CL A           127190304     152,760       4,000       X     28-5284       4000
                                                              190,950       5,000       X   X 28-5284       5000

  CADBURY SCHWEPPES PLC          ADR            127209302      21,850         724       X     28-5284        724
                                                                4,225         140       X   X 28-5284        100                  40
                                                              301,800      10,000       X   X 28-4580      10000

  CADENCE DESIGN SYSTEM INC      COM            127387108      88,660       5,500       X     28-5284       4500                1000
                                                               29,822       1,850       X   X 28-5284       1850

  CALGON CARBON CORP             COM            129603106         840         100       X   X 28-5284        100

  CALIFORNIA COASTAL CMNTYS IN   COM NEW        129915203          10           2       X     28-5284          2

  CALIFORNIA FED BK FSB LOS AN   CONT LITIG REC 130209604      37,500      15,000       X     28-5284      15000

  CALIFORNIA WTR SVC GROUP       COM            130788102      45,360       1,800       X   X 28-5284       1800

  CALIPER TECHNOLOGIES CORP      COM            130876105         835         100       X     28-5284        100
                                                                5,010         600       X   X 28-1500        600
0                COLUMN TOTAL                               6,474,264
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    37 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CALLAWAY GOLF CO               COM            131193104      31,680       2,000       X     28-5284       1800                 200
                                                                6,336         400       X   X 28-5284                            400

  CALPINE CORP                   COM            131347106     244,918      34,839       X     28-5284      33239       250      1350
                                                              151,004      21,480       X   X 28-5284       9520       460     11500
                                                               46,398       6,600       X   X 28-1500       6600
                                                                1,406         200       X     28-4580        200
                                                               14,622       2,080       X   X 28-4580       2080

  CAMBREX CORP                   COM            132011107      12,030         300       X     28-5284        300
                                                              210,525       5,250       X   X 28-5284                           5250

  CAMCO FINL CORP                COM            132618109       1,015          72       X     28-5284         72
                                                                5,189         368       X   X 28-1500        368

  CAMDEN PPTY TR                 SH BEN INT     133131102      89,983       2,430       X     28-5284       2430
                                                               65,136       1,759       X   X 28-5284       1000       759

  CAMINUS CORP                   COM            133766105      41,597       7,135       X   X 28-5284                           7135

  CAMPBELL SOUP CO               COM            134429109   5,736,878     207,407       X     28-5284     198874      3600      4933
                                                           43,555,289   1,574,667       X   X 28-5284      73726   1474234     26707
                                                               29,486       1,066       X     28-4580       1066
                                                              354,048      12,800       X   X 28-4580       1800               11000

  CANADA LIFE FINL CORP          COM            135113108      67,789       2,759       X     28-5284       2759
                                                              110,319       4,490       X   X 28-5284                 3043      1447
                                                               64,324       2,618       X   X 28-1500       2618

  CANADA SOUTHN PETE LTD         LTD VTG SH     135231108       1,895         500       X     28-5284        500

  CANADIAN NATL RY CO            COM            136375102      78,529       1,516       X     28-5284       1516

  CANADIAN PAC RY LTD            COM            13645T100      24,520       1,000       X     28-5284       1000
                                                               11,034         450       X   X 28-5284        450

  CANDIES INC                    COM            137409108          69          17       X     28-5284                             17

  CANNONDALE CORP                COM            137798104       1,190         500       X     28-5284        500

  CANON INC                      ADR            138006309      56,745       1,500       X     28-5284        500                1000
                                                                2,459          65       X   X 28-1500         65
0                COLUMN TOTAL                              51,016,413
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    38 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CAPITAL AUTOMOTIVE REIT        COM SH BEN INT 139733109     119,300       5,000       X     28-5284       5000

  CAPITAL CORP OF THE WEST       COM            140065103   2,357,990     124,301       X     28-1500     124301

  CAPITAL CROSSING BK            COM            140071101   1,196,585      53,300       X     28-1500      53300

  CAPITAL ONE FINL CORP          COM            14040H105   1,486,568      24,350       X     28-5284      16350                8000
                                                              330,708       5,417       X   X 28-5284       5417

  CAPITAL SOUTHWEST CORP         COM            140501107     126,820       1,865       X     28-5284       1865

  CAPSTONE TURBINE CORP          COM            14067D102       4,316       2,600       X     28-5284       2600
                                                                2,756       1,660       X   X 28-5284       1660

  CAPSTEAD MTG CORP              PFD B CV $1.26 14067E308      15,313       1,250       X     28-5284       1250

  CAPSTEAD MTG CORP              COM NO PAR     14067E506       5,468         243       X     28-5284         43                 200

  CARBO CERAMICS INC             COM            140781105       5,543         150       X     28-5284        150
                                                               18,475         500       X   X 28-5284                            500

  CARDINAL HEALTH INC            COM            14149Y108  59,580,780     970,213       X     28-5284     869845      5414     94954
                                                           12,509,893     203,711       X   X 28-5284     134112     52841     16758
                                                              416,667       6,785       X   X 28-1500       6785
                                                              932,265      15,181       X     28-4580      14712                 469
                                                              190,985       3,110       X   X 28-4580       2344       640       126

  CARDIOGENESIS CORP             COM            14159W109       4,950       5,000       X     28-5284       5000

  CAREER EDUCATION CORP          COM            141665109     315,000       7,000       X     28-5284       7000

  CAREMARK RX INC                COM            141705103     412,500      25,000       X     28-5284      25000
                                                               17,837       1,081       X   X 28-5284        507       574
                                                                  495          30       X   X 28-1500         30

  CARESCIENCE INC                COM            141726109       2,498       2,000       X   X 28-5284       2000

  CARLISLE COS INC               COM            142339100   1,084,018      24,100       X     28-5284      16100                8000
                                                            1,330,284      29,575       X   X 28-5284       6375               23200
0                COLUMN TOTAL                              82,468,014
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    39 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CARNIVAL CORP                  COM            143658102  13,404,397     484,088       X     28-5284     460444      5129     18515
                                                            3,188,060     115,134       X   X 28-5284      62644     24528     27962
                                                              236,334       8,535       X   X 28-1500       8535
                                                              367,086      13,257       X     28-4580      12355                 902
                                                               30,736       1,110       X   X 28-4580        891       100       119

  CARPENTER TECHNOLOGY CORP      COM            144285103   8,488,867     294,650       X     28-5284        600     35800    258250
                                                            4,678,629     162,396       X   X 28-5284       2400      4152    155844

  CARRAMERICA RLTY CORP          COM            144418100     617,000      20,000       X     28-5284      20000
                                                              709,550      23,000       X   X 28-5284      23000

  CASS INFORMATION SYS INC       COM            14808P109     253,980      10,200       X     28-1500      10200

  CASTLE A M & CO                COM            148411101      47,574       3,812       X     28-5284       3812

  CASTLE ENERGY CORP             COM PAR$0.50N  148449309      63,080       9,500       X   X 28-5284                 2000      7500

  CATALINA MARKETING CORP        COM            148867104       8,466         300       X     28-5284        300

  CATALYTICA ENERGY SYS INC      COM            148884109       2,354         745       X   X 28-5284        745

  CATELLUS DEV CORP              COM            149111106         470          23       X     28-5284         23
                                                               21,135       1,035       X   X 28-5284         84       951

  CATERPILLAR INC DEL            COM            149123101   3,438,297      70,241       X     28-5284      44950      4050     21241
                                                            5,171,568     105,650       X   X 28-5284      70048     16758     18844
                                                              103,774       2,120       X   X 28-1500       2120
                                                               68,530       1,400       X     28-4580       1400
                                                              115,669       2,363       X   X 28-4580       2363

  CATO CORP NEW                  CL A           149205106       4,460         200       X   X 28-1500        200

  CAVALRY BANCORP INC            COM            149547101      62,640       4,800       X     28-1500                 4800

  CEDAR FAIR L P                 DEPOSITRY UNIT 150185106      96,228       4,050       X     28-5284       4050
                                                              125,928       5,300       X   X 28-5284       1200      2700      1400

  CELADON GROUP INC              COM            150838100      28,710       2,250       X     28-5284       2250

  CELL GENESYS INC               COM            150921104      26,978       2,000       X   X 28-5284                           2000

  CELL THERAPEUTICS INC          COM            150934107      31,662       5,800       X     28-5284       5800
0                COLUMN TOTAL                              41,392,162
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    40 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CELESTICA INC                  SUB VTG SHS    15101Q108         227          10       X     28-5284         10
                                                              219,152       9,650       X   X 28-5284                           9650

  CELGENE CORP                   COM            151020104       4,590         300       X     28-5284        300
                                                                2,066         135       X   X 28-5284        135

  CELL PATHWAYS INC NEW          COM            15114R101       1,650       1,100       X     28-5284       1100
                                                                  300         200       X   X 28-5284        200

  CELSION CORPORATION            COM            15117N107       5,100      10,000       X     28-5284      10000

  CEMEX S A                      SPON ADR 5 ORD 151290889      27,493       1,043       X     28-5284       1043

  CENDANT CORP                   COM            151313103   1,048,429      66,022       X     28-5284      65522                 500
                                                            2,542,039     160,078       X   X 28-5284      27865     54977     77236
                                                               86,864       5,470       X   X 28-1500       5470

  CENTER TR INC                  COM            151845104      13,414       1,900       X     28-5284       1900

  CENTERPOINT PPTYS TR           SH BEN INT     151895109       5,801         100       X   X 28-5284        100

  CENTEX CORP                    COM            152312104      17,337         300       X     28-5284        300
                                                              455,096       7,875       X   X 28-5284       7000                 875

  CENTILLIUM COMMUNICATIONS IN   COM            152319109       8,720       1,000       X     28-5284       1000

  CENTRAL EUROPEAN EQUITY FD I   COM            153436100      13,790       1,000       X   X 28-5284                 1000

  CENTRAL SECS CORP              COM            155123102     416,934      19,676       X     28-5284       5433               14243

  CENTRAL VT PUB SVC CORP        COM            155771108       2,700         150       X     28-5284        150

  CEPHEID                        COM            15670R107       1,116         200       X   X 28-1500        200

  CENTURYTEL INC                 COM            156700106  18,203,860     617,080       X     28-5284     271890              345190
                                                            2,378,792      80,637       X   X 28-5284      19337               61300

  CEPHALON INC                   COM            156708109     122,040       2,700       X     28-5284       2700
                                                                9,040         200       X   X 28-5284        200

  CERIDIAN CORP NEW              COM            156779100      30,975       1,632       X     28-5284       1632
                                                               43,654       2,300       X   X 28-5284                           2300
0                COLUMN TOTAL                              25,661,179
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    41 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CERNER CORP                    COM            156782104      47,830       1,000       X   X 28-5284       1000

  CERTEGY INC                    COM            156880106   1,960,373      52,826       X     28-5284      51051      1300       475
                                                            1,403,166      37,811       X   X 28-5284      32961      1850      3000
                                                                7,422         200       X     28-4580        200

  CHALONE WINE GROUP LTD         COM            157639105      10,053       1,117       X     28-5284       1000                 117

  CHARLES RIV LABS INTL INC      COM            159864107      70,100       2,000       X     28-5284       2000
                                                                1,227          35       X   X 28-5284         35

  CHARTER ONE FINL INC           COM            160903100   9,131,637     265,609       X     28-5284     264409                1200
                                                              796,275      23,161       X   X 28-5284      11970               11191

  CHARTER MUN MTG ACCEP CO       SH BEN INT     160908109      17,093         956       X     28-5284        956
                                                               16,396         917       X   X 28-5284        917

  CHARMING SHOPPES INC           COM            161133103      12,044       1,394       X     28-5284        500                 894
                                                              108,864      12,600       X   X 28-5284                          12600

  CHART INDS INC                 COM            16115Q100       3,860       2,000       X     28-5284       2000

  CHARTER COMMUNICATIONS INC D   CL A           16117M107   2,047,140     501,750       X     28-5284     501750
                                                               22,440       5,500       X   X 28-5284                  400      5100
                                                                4,896       1,200       X   X 28-1500       1200

  CHATEAU CMNTYS INC             COM            161726104     133,906       4,376       X     28-5284       4376
                                                              184,916       6,043       X   X 28-5284       6043

  CHECKFREE CORP NEW             COM            162813109      27,214       1,740       X     28-5284       1740
                                                              246,330      15,750       X   X 28-5284       2000               13750
                                                            2,346,000     150,000       X     28-5284     150000

  CHECKPOINT SYS INC             COM            162825103     135,720      11,600       X     28-5284       9600                2000
                                                            1,361,365     116,356       X   X 28-5284     116356

  CHEESECAKE FACTORY INC         COM            163072101      84,265       2,375       X     28-5284       2300                  75
                                                               35,480       1,000       X   X 28-5284                 1000

  CHEMED CORP                    COM            163596109       3,769         100       X     28-5284        100
                                                              152,456       4,045       X   X 28-5284         45                4000

  CHESAPEAKE CORP                COM            165159104       7,899         300       X     28-5284        300
                                                               37,810       1,436       X   X 28-5284       1436
0                COLUMN TOTAL                              20,417,946
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    42 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CHESAPEAKE ENERGY CORP         COM            165167107       3,636         505       X     28-5284        505
                                                               82,080      11,400       X   X 28-5284      11400

  CHESAPEAKE UTILS CORP          COM            165303108       5,703         300       X     28-5284        300
                                                              100,753       5,300       X   X 28-5284       1800      3500

  CHEVRONTEXACO CORP             COM            166764100 165,882,188   1,874,375       X     28-5284    1625261     10104    239010
                                                          175,200,884   1,979,671       X   X 28-5284     673495    289759   1016417
                                                              773,225       8,737       X     28-1500                 8737
                                                            4,373,316      49,416       X     28-4580      48984                 432
                                                            1,278,029      14,441       X   X 28-4580      12256      1030      1155

  CHICOS FAS INC                 COM            168615102     740,928      20,400       X   X 28-5284      17100       150      3150
                                                                7,809         215       X   X 28-1500        215

  CHINA MOBILE HONG KONG LTD     SPONSORED ADR  16941M109       8,772         600       X   X 28-5284        600

  CHIPPAC INC                    CL A           169657103       9,888       1,600       X     28-5284       1600

  CHIQUITA BRANDS INTL INC       *W EXP 01/01/2 170032114       2,278         356       X     28-5284        356
                                                                  755         118       X   X 28-5284        118

  CHIQUITA BRANDS INTL INC       COM            170032809         376          21       X     28-5284         21
                                                                  125           7       X   X 28-5284          7

  CHIRON CORP                    COM            170040109     207,505       5,870       X     28-5284       4264                1606
                                                              273,043       7,724       X   X 28-5284       1324                6400
                                                               27,220         770       X   X 28-1500        770

  CHITTENDEN CORP                COM            170228100      32,052       1,106       X     28-5284                           1106

  CHOICEPOINT INC                COM            170388102     353,302       7,770       X     28-5284       7430                 340
                                                            1,388,745      30,542       X   X 28-5284      30542
                                                               72,752       1,600       X   X 28-1500       1600

  CHRISTOPHER & BANKS CORP       COM            171046105      97,290       2,300       X   X 28-5284       2300

  CHROMAVISION MED SYS INC       COM            17111P104     181,461     101,375       X     28-5284     101375

  CHUBB CORP                     COM            171232101   7,227,122     102,078       X     28-5284      98828      1850      1400
                                                            9,559,345     135,019       X   X 28-5284      54657     75424      4938
                                                                3,540          50       X     28-4580         50
                                                              136,644       1,930       X   X 28-4580       1700       230
0                COLUMN TOTAL                             368,030,766
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    43 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CHURCH & DWIGHT INC            COM            171340102     156,650       5,000       X     28-5284       5000
                                                               31,330       1,000       X   X 28-5284       1000
                                                               12,532         400       X   X 28-1500        400
                                                            5,169,450     165,000       X                 165000

  CHURCHILL DOWNS INC            COM            171484108   2,897,106      71,835       X     28-5284      71083       250       502
                                                              297,635       7,380       X   X 28-5284       5380      2000
                                                              213,709       5,299       X     28-1500       4999       300

  CIBER INC                      COM            17163B102      28,986       3,998       X     28-5284       3998

  CIENA CORP                     COM            171779101      62,012      14,800       X     28-5284      14800
                                                               22,085       5,271       X   X 28-5284       4800       471
                                                                5,950       1,420       X   X 28-1500       1420

  CIMA LABS INC                  COM            171796105      19,296         800       X     28-5284        800

  CINCINNATI FINL CORP           COM            172062101  95,136,308   2,044,623       X     28-5284    1265208       495    778920
                                                           12,277,127     263,854       X   X 28-5284     153649       250    109955
                                                            1,662,982      35,740       X   X 28-1500      35740

  CINERGY CORP                   COM            172474108   5,093,485     141,525       X     28-5284     137148      3475       902
                                                            5,453,025     151,515       X   X 28-5284     144545      5470      1500
                                                            6,643,754     184,600       X     28-1500               184600
                                                               25,193         700       X     28-4580        700
                                                               55,605       1,545       X   X 28-4580                 1545

  CIRCUIT CITY STORE INC         CIRCT CITY GRP 172737108     168,375       8,980       X     28-5284       8980
                                                              206,250      11,000       X   X 28-5284       9900       600       500
                                                                4,688         250       X   X 28-1500        250
                                                               18,750       1,000       X   X 28-4580                 1000

  CISCO SYS INC                  COM            17275R102 100,735,224   7,221,163       X     28-5284    6758391    132784    329988
                                                           57,898,917   4,150,460       X   X 28-5284    3010950    858040    281470
                                                              968,869      69,453       X     28-1500                69453
                                                            2,879,894     206,444       X     28-4580     203950                2494
                                                            1,289,189      92,415       X   X 28-4580      58340     34075

  CIRRUS LOGIC INC               COM            172755100       1,658         225       X   X 28-1500        225
0                COLUMN TOTAL                             299,436,034
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    44 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CINTAS CORP                    COM            172908105  55,190,078   1,116,530       X     28-5284     921570      6440    188520
                                                           16,145,321     326,630       X   X 28-5284     234698     29012     62920
                                                              463,406       9,375       X   X 28-1500       9375
                                                              648,225      13,114       X     28-4580      13014                 100
                                                               73,651       1,490       X   X 28-4580       1070       420

  CITIGROUP INC                  COM            172967101 170,350,774   4,396,149       X     28-5284    3918191     44055    433903
                                                           80,012,860   2,064,848       X   X 28-5284    1325008    543720    196120
                                                            1,597,779      41,233       X     28-1500                41233
                                                            4,383,633     113,126       X     28-4580     111023                2103
                                                            1,493,503      38,542       X   X 28-4580      28777      9056       709

  CITIZENS BKG CORP MICH         COM            174420109      39,123       1,350       X     28-5284       1350

  CITIZENS COMMUNICATIONS CO     COM            17453B101     241,245      28,857       X     28-5284      28857
                                                              454,383      54,352       X   X 28-5284      25352               29000
                                                               29,670       3,549       X   X 28-4580       3549

  CITRIX SYS INC                 COM            177376100      33,492       5,545       X     28-5284       4945                 600
                                                               51,642       8,550       X   X 28-5284       8300                 250
                                                                2,416         400       X     28-4580        400

  CITY INVESTING CO LIQ TR       UNIT BEN INT   177900107       1,102         580       X     28-5284        530                  50
                                                                  165          87       X   X 28-5284         87

  CITY NATL CORP                 COM            178566105       8,063         150       X     28-5284        150

  CLAIRES STORES INC             COM            179584107      22,900       1,000       X   X 28-5284       1000

  CLARCOR INC                    COM            179895107     128,183       4,050       X   X 28-5284       4050

  CLAYTON HOMES INC              COM            184190106  18,370,597   1,162,696       X     28-5284     583065              579631
                                                              250,967      15,884       X   X 28-5284      15509                 375
                                                               46,405       2,937       X   X 28-1500       2937

  CLEAR CHANNEL COMMUNICATIONS   COM            184502102   4,012,682     125,318       X     28-5284      97778      1375     26165
                                                            2,344,312      73,214       X   X 28-5284      36476     24591     12147
                                                               10,727         335       X   X 28-1500        335
                                                              148,957       4,652       X     28-4580       4652
                                                               60,838       1,900       X   X 28-4580       1900

  CLEARONE COMMUNICATIONS INC    COM            185060100       4,080         277       X     28-5284        277
                                                               14,730       1,000       X   X 28-5284                           1000
0                COLUMN TOTAL                             356,635,909
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    45 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CLOROX CO DEL                  COM            189054109   8,860,395     214,278       X     28-5284     181718       860     31700
                                                            9,753,721     235,882       X   X 28-5284     223470      8092      4320
                                                               68,641       1,660       X     28-1500                 1660
                                                              285,315       6,900       X   X 28-4580       6900

  CLOSURE MED CORP               COM            189093107      35,000       2,500       X   X 28-5284       2500

  COACH INC                      COM            189754104     657,043      11,968       X     28-5284      11968
                                                              907,113      16,523       X   X 28-5284       6007      8266      2250

  COAST FEDERAL LITIGATION TR    RIGHT 99/99/99 19034Q110         119         700       X     28-5284        700

  COASTAL BANCORP INC            COM            19041P105      31,760       1,000       X     28-5284       1000

  COCA COLA CO                   COM            191216100 136,968,216   2,445,861       X     28-5284    2102418     38995    304448
                                                          119,546,784   2,134,764       X   X 28-5284    1401351    543923    189490
                                                            1,093,680      19,530       X     28-1500                19530
                                                            7,586,824     135,479       X     28-4580     111479               24000
                                                            4,449,928      79,463       X   X 28-4580      67072      9191      3200

  COCA COLA ENTERPRISES INC      COM            191219104     392,737      17,787       X     28-5284      17787
                                                               28,704       1,300       X   X 28-5284        300                1000

  COCA-COLA FEMSA S A DE C V     SPON ADR REP L 191241108       9,600         400       X     28-5284        400

  COGNEX CORP                    COM            192422103      12,030         600       X     28-5284        600
                                                                6,015         300       X   X 28-5284                            300

  COGNOS INC                     COM            19244C109      11,095         500       X     28-5284        500
                                                               61,023       2,750       X   X 28-5284                           2750

  COGNIZANT TECHNOLOGY SOLUTIO   CL A           192446102     231,125       4,300       X   X 28-5284       4300

  COHEN & STEERS TOTAL RETURN    COM            19247R103      14,900       1,000       X   X 28-5284       1000

  COHESION TECHNOLOGIES INC      COM            19248N101       2,150       1,000       X   X 28-5284                           1000

  COHU INC                       COM            192576106       4,752         275       X     28-5284        275

  COINSTAR INC                   COM            19259P300      12,225         500       X   X 28-5284                            500

  COLE NATIONAL CORP NEW         CL A           193290103     148,200       7,800       X   X 28-5284                           7800
0                COLUMN TOTAL                             291,179,095
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    46 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  COLE KENNETH PRODTNS INC       CL A           193294105     133,245       4,700       X   X 28-5284                           4700

  COLGATE PALMOLIVE CO           COM            194162103  83,796,012   1,674,246       X     28-5284    1392166     20562    261518
                                                           37,535,098     749,952       X   X 28-5284     423768    272229     53955
                                                              203,904       4,074       X     28-1500                 4074
                                                            1,553,052      31,030       X     28-4580      30315                 715
                                                              367,217       7,337       X   X 28-4580       2190      4910       237

  COLONIAL BANCGROUP INC         COM            195493309      43,935       2,929       X     28-5284       2929
                                                              190,500      12,700       X   X 28-5284      12700

  COLONIAL HIGH INCOME MUN TR    SH BEN INT     195743109      83,920      12,323       X     28-5284      12323

  COLONIAL MUN INCOME TR         SH BEN INT     195799101       2,950         500       X   X 28-5284        500

  COLONIAL PPTYS TR              COM SH BEN INT 195872106     245,385       6,300       X   X 28-5284       1700      4600
                                                                  117           3       X   X 28-1500          3

  COLUMBIA BANCORP               COM            197227101     259,710      11,000       X   X 28-5284                          11000

  COMCAST CORP                   CL A           200300101     306,324      12,658       X     28-5284      12658
                                                            3,803,272     157,160       X   X 28-5284       4527      8196    144437
                                                                4,840         200       X   X 28-1500        200
                                                               36,300       1,500       X   X 28-4580       1500

  COMCAST CORP                   CL A SPL       200300200 166,718,269   6,993,216       X     28-5284    6922721     13156     57339
                                                          105,596,920   4,429,401       X   X 28-5284     204830     66043   4158528
                                                                4,172         175       X   X 28-1500        175
                                                              619,172      25,972       X     28-4580      25772                 200
                                                              141,109       5,919       X   X 28-4580       5329       590

  COMERICA INC                   COM            200340107     982,154      15,996       X     28-5284      15047                 949
                                                              869,117      14,155       X   X 28-5284       9100       925      4130
                                                                2,026          33       X   X 28-1500         33

  COMM BANCORP INC               COM            200468106     900,764      25,040       X     28-5284      25040

  COMMERCE BANCORP INC NJ        COM            200519106     787,158      17,809       X     28-5284      17509                 300
                                                              489,206      11,068       X   X 28-5284       9288      1780

  COMMERCE BANCSHARES INC        COM            200525103      89,453       2,022       X     28-5284       2022
                                                              393,249       8,889       X   X 28-5284                           8889
0                COLUMN TOTAL                             406,158,550
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    47 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  COMMERCE GROUP INC MASS        COM            200641108      11,865         300       X     28-5284        300

  COMMERCE ONE INC DEL           COM            200693109         479       1,260       X     28-5284        260                1000
                                                                  209         550       X   X 28-5284        350       200
                                                                  380       1,000       X   X 28-1500       1000

  COMMERCIAL NET LEASE RLTY IN   COM            202218103      29,856       1,866       X     28-5284       1866

  COMMONWEALTH BANCORP INC       COM            20268X102     491,632      16,570       X   X 28-5284       4154     12416

  COMMONWEALTH INDS INC DEL      COM            203004106      67,054       9,326       X     28-5284       9326

  COMMONWEALTH TEL ENTERPRISES   COM            203349105     182,408       4,533       X     28-5284       2533      2000
                                                               67,040       1,666       X   X 28-5284                 1666

  COMMONWEALTH TEL ENTERPRISES   CL B           203349204      16,400         400       X     28-5284        400

  COMMUNICATION INTELLIGENCE N   COM            20338K106       6,800      10,000       X     28-5284      10000

  COMMUNITY BANCSHARES INC S C   COM            20343F100      38,658       2,209       X   X 28-5284       2209

  COMMUNITY BK SYS INC           COM            203607106     532,770      16,520       X     28-5284      16520
                                                              238,650       7,400       X   X 28-5284       7400

  COMMUNITY BKS INC MILLERSBUR   COM            203628102      68,196       2,318       X   X 28-5284       2318

  COMMUNITY CAP CORP S C         COM            20363C102      19,184       1,323       X     28-5284                           1323

  COMMUNITY TR BANCORP INC       COM            204149108   1,274,789      45,350       X     28-5284      30821               14529
                                                               23,641         841       X   X 28-5284        841

  COMPASS BANCSHARES INC         COM            20449H109      94,886       2,824       X     28-5284       2824
                                                              305,760       9,100       X   X 28-5284       9100

  COMPUCOM SYS INC               COM            204780100      11,640       3,000       X   X 28-5284                           3000

  COMPUTER ASSOC INTL INC        COM            204912109     244,817      15,407       X     28-5284      15407
                                                              251,602      15,834       X   X 28-5284       9604                6230
                                                                1,668         105       X   X 28-1500        105

  COMPUTER NETWORK TECHNOLOGY    COM            204925101       4,598         750       X   X 28-5284                            750
0                COLUMN TOTAL                               3,984,982
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    48 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  COMPUTER SCIENCES CORP         COM            205363104     196,936       4,120       X     28-5284       4120
                                                              537,511      11,245       X   X 28-5284       4527      4278      2440
                                                               19,837         415       X   X 28-1500        415
                                                               28,680         600       X   X 28-4580        600

  COMPX INTERNATIONAL INC        CL A           20563P101         663          50       X     28-5284         50

  COMPUWARE CORP                 COM            205638109      18,835       3,103       X     28-5284       3103

  COMTECH TELECOMMUNICATIONS C   COM NEW        205826209     148,916      21,582       X     28-5284      21582

  COMVERSE TECHNOLOGY INC        COM PAR $0.10  205862402      45,837       4,950       X     28-5284       4750                 200
                                                            1,340,654     144,779       X   X 28-5284                         144779
                                                                1,852         200       X   X 28-1500        200

  CONAGRA FOODS INC              COM            205887102  12,327,476     445,840       X     28-5284     426766     14200      4874
                                                            5,268,072     190,527       X   X 28-5284     125311     54751     10465
                                                                9,207         333       X   X 28-1500        333
                                                              128,296       4,640       X     28-4580       4640
                                                                8,295         300       X   X 28-4580                  300

  COM21 INC                      COM            205937105          90         200       X   X 28-5284        200

  CONCORD CAMERA CORP            COM            206156101     142,012      27,840       X   X 28-5284      19840                8000

  CONCORD EFS INC                COM            206197105   1,388,399      46,065       X     28-5284      26493               19572
                                                              310,442      10,300       X   X 28-5284       8700                1600
                                                                2,562          85       X   X 28-1500         85

  CONCUR TECHNOLOGIES INC        COM            206708109       4,693       1,676       X     28-5284       1676

  CONCURRENT COMPUTER CORP NEW   COM            206710204     212,505      45,700       X     28-5284      45700
                                                               37,200       8,000       X   X 28-5284                 8000
                                                               23,250       5,000       X   X 28-1500       5000

  CONECTIV INC                   COM            206829103     587,823      22,775       X     28-5284      20354                2421
                                                              962,842      37,305       X   X 28-5284      22294     14492       519
                                                              235,336       9,118       X     28-4580       9118
                                                               77,430       3,000       X   X 28-4580       3000

  CONECTIV INC                   CL A           206829202      32,480       1,494       X     28-5284       1159       125       210
                                                               49,937       2,297       X   X 28-5284       2156       141
0                COLUMN TOTAL                              24,148,068
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    49 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CONEXANT SYSTEMS INC           COM            207142100      61,178      37,764       X     28-5284      35108                2656
                                                               33,741      20,828       X   X 28-5284      10587      2182      8059
                                                                  133          82       X     28-4580         82

  CONOCO INC                     COM            208251504   5,516,465     198,434       X     28-5284     171814       500     26120
                                                            2,248,742      80,890       X   X 28-5284      17869     51161     11860
                                                            3,465,659     124,664       X     28-4580     124664
                                                            5,866,995     211,043       X   X 28-4580     200311      3988      6744

  CONSECO INC                    COM            208464107     505,944     252,972       X     28-5284     251472                1500
                                                               19,230       9,615       X   X 28-5284       3137       478      6000
                                                               14,404       7,202       X   X 28-1500       7202

  CONSOL ENERGY INC              COM            20854P109      25,500       1,200       X     28-5284       1100                 100
                                                               31,875       1,500       X   X 28-5284                           1500

  CONSOLIDATED EDISON INC        COM            209115104   1,241,436      29,735       X     28-5284      26995      1080      1660
                                                            1,152,342      27,601       X   X 28-5284      24476      2795       330
                                                               17,953         430       X     28-4580        430
                                                               12,776         306       X   X 28-4580        166       140

  CONSTELLATION BRANDS INC       CL A           21036P108     572,800      17,900       X     28-5284      17900
                                                              115,200       3,600       X   X 28-5284       3600

  CONSTELLATION ENERGY GROUP I   COM            210371100     731,916      24,946       X     28-5284      24346                 600
                                                              806,733      27,496       X   X 28-5284      21666      4103      1727
                                                               29,340       1,000       X     28-4580       1000
                                                                2,934         100       X   X 28-4580        100

  CONTINENTAL AIRLS INC          CL B           210795308      12,924         819       X     28-5284        819
                                                                3,156         200       X   X 28-5284        200

  CONVERA CORP                   CL A           211919105       1,215         500       X     28-5284        500

  CONVERIUM HLDG AG              SPONSORED ADR  21248N107      12,875         500       X   X 28-5284                            500

  CONVERGYS CORP                 COM            212485106  10,911,293     560,128       X     28-5284     557603       125      2400
                                                            3,292,997     169,045       X   X 28-5284     159063      3500      6482
                                                              635,554      32,626       X   X 28-1500      32626

  COOPER CAMERON CORP            COM            216640102      68,999       1,425       X     28-5284       1425
                                                               58,104       1,200       X   X 28-5284       1200
0                COLUMN TOTAL                              37,470,413
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    50 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  COOPER COS INC                 COM NEW        216648402       2,920          62       X     28-5284         62
                                                               70,179       1,490       X   X 28-5284       1490

  COOPER TIRE & RUBR CO          COM            216831107     607,253      29,550       X     28-5284      29550
                                                                6,165         300       X   X 28-5284                  300

  COORS ADOLPH CO                CL B           217016104       6,230         100       X     28-5284        100
                                                               74,137       1,190       X   X 28-5284       1190

  COPART INC                     COM            217204106     107,118       6,600       X     28-5284       6600

  COPYTELE INC                   COM            217721109       2,068       4,400       X     28-5284       4400

  COREL CORPORATION              COM            21868Q109          91         100       X     28-5284        100
                                                                3,367       3,700       X   X 28-5284        200      3500

  CORILLIAN CORP                 COM            218725109      11,350       5,000       X     28-5284       5000
                                                               64,339      28,343       X                  28343

  CORINTHIAN COLLEGES INC        COM            218868107      20,334         600       X     28-5284        600
                                                              237,230       7,000       X   X 28-5284       7000

  CORN PRODS INTL INC            COM            219023108     194,469       6,249       X     28-5284       6143                 106
                                                              698,488      22,445       X   X 28-5284      11895      2550      8000
                                                                4,668         150       X   X 28-1500        150
                                                                2,334          75       X     28-4580         75

  CORNING INC                    COM            219350105   2,970,033     836,629       X     28-5284     798069     18735     19825
                                                            6,989,197   1,968,788       X   X 28-5284     545533    597794    825461
                                                                7,274       2,049       X   X 28-1500       2049
                                                               58,575      16,500       X     28-4580      16500
                                                               67,233      18,939       X   X 28-4580      18939

  CORPORATE EXECUTIVE BRD CO     COM            21988R102      30,825         900       X     28-5284        900

  CORPORATE HIGH YIELD FD III    COM            219925104      13,920       2,000       X     28-5284       2000
                                                               10,391       1,493       X   X 28-5284                 1493

  CORPORATE HIGH YIELD FD IV I   COM            219930104      21,000       1,500       X     28-5284       1500

  CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108      91,188       6,250       X   X 28-5284        250      6000

  CORRECTIONS CORP AMER NEW      PFD CV B 12%   22025Y308       5,010         212       X     28-5284        212
0                COLUMN TOTAL                              12,377,386
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    51 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CORRECTIONS CORP AMER NEW      COM NEW        22025Y407      11,228         649       X     28-5284        610                  39
                                                                9,100         526       X   X 28-1500        526

  CORUS GROUP PLC                SPONSORED ADR  22087M101       2,436         192       X     28-5284        192

  CORUS BANKSHARES INC           COM            220873103   1,726,554      37,600       X     28-1500      37600

  CORVIS CORP                    COM            221009103         130         200       X     28-5284                            200
                                                                4,290       6,600       X   X 28-5284       3000                3600

  COSTCO WHSL CORP NEW           COM            22160K105  53,790,863   1,392,824       X     28-5284    1051949      7925    332950
                                                           12,062,532     312,339       X   X 28-5284     135052     86537     90750
                                                              129,377       3,350       X   X 28-1500       3350
                                                              986,278      25,538       X     28-4580      24926                 612
                                                              243,306       6,300       X   X 28-4580       5490       810

  COSTAR GROUP INC               COM            22160N109      28,742       1,400       X     28-5284       1400

  COTT CORP QUE                  COM            22163N106      94,950       5,000       X     28-5284       5000
                                                               79,758       4,200       X   X 28-5284                           4200

  COUNTRYWIDE CR INDS INC DEL    COM            222372104   1,758,616      36,448       X     28-5284      35478       250       720
                                                            1,174,984      24,352       X   X 28-5284      13369      5833      5150
                                                               14,475         300       X   X 28-1500        300
                                                              174,472       3,616       X     28-4580       3533                  83
                                                               10,133         210       X   X 28-4580                  210

  COUSINS PPTYS INC              COM            222795106     611,572      24,700       X     28-5284      24700

  COVANCE INC                    COM            222816100     101,719       5,425       X     28-5284       3950       175      1300
                                                              164,644       8,781       X   X 28-5284       7437      1244       100

  COVENTRY HEALTH CARE INC       COM            222862104      66,787       2,350       X     28-5284       2350

  COVISTA COMMUNICATIONS INC     COM            223574104         984         293       X   X 28-5284                            293

  COX COMMUNICATIONS INC NEW     CL A           224044107     198,773       7,215       X     28-5284       6179        54       982
                                                              536,454      19,472       X   X 28-5284        738     17084      1650

  COX RADIO INC                  CL A           224051102      24,100       1,000       X     28-5284                           1000

  CP SHIPS LTD                   COM            22409V102       5,100         500       X     28-5284        500
                                                                2,040         200       X   X 28-5284        200
0                COLUMN TOTAL                              74,014,397
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    52 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CRANE CO                       COM            224399105      64,313       2,534       X     28-5284       2534
                                                              241,110       9,500       X   X 28-5284       3500                6000

  CRAWFORD & CO                  CL B           224633107      24,300       3,000       X     28-5284       3000
                                                                1,094         135       X   X 28-5284        135

  CRAWFORD & CO                  CL A           224633206         461          75       X   X 28-5284         75

  CREDIT SUISSE ASSET MGMT INC   COM            224916106      99,147      20,570       X   X 28-5284      20570

  CRAY INC                       COM            225223106       4,470       1,000       X     28-5284                           1000

  CREE INC                       COM            225447101     113,778       8,600       X     28-5284       8600
                                                               18,522       1,400       X   X 28-5284       1400

  CRESCENT REAL ESTATE EQUITIE   COM            225756105     153,340       8,200       X     28-5284       8200
                                                                3,740         200       X   X 28-5284                  200

  CRESCENT REAL ESTATE EQUITIE   PFD CV A 6.75% 225756204     191,410       9,826       X   X 28-5284       9826

  CRIIMI MAE INC                 COM NEW        226603504         118          16       X     28-5284         16

  CRITICAL PATH INC              COM            22674V100       2,040       2,000       X     28-5284       2000

  CROMPTON CORP                  COM            227116100      12,750       1,000       X     28-5284       1000
                                                               11,233         881       X   X 28-5284        881

  CROSS CTRY INC                 COM            22748P105     215,460       5,700       X   X 28-5284       5700

  CROSS TIMBERS RTY TR           TR UNIT        22757R109      15,450       1,000       X     28-5284       1000

  CROSSWALK COM INC              COM            227685104         120         200       X     28-5284        200

  CROWN AMERN RLTY TR            SH BEN INT     228186102      67,210       7,150       X     28-5284       7150
                                                               54,520       5,800       X   X 28-5284       5800

  CROWN CASTLE INTL CORP         COM            228227104   1,537,833     391,306       X     28-5284     391306
                                                              220,355      56,070       X   X 28-5284        300               55770
                                                                1,572         400       X   X 28-1500        400

  CROWN CORK & SEAL INC          COM            228255105     555,925      81,157       X     28-5284      81157
                                                              131,520      19,200       X   X 28-5284      18900                 300
                                                                6,850       1,000       X   X 28-4580       1000
0                COLUMN TOTAL                               3,748,641
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    53 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CRYO-CELL INTL INC             COM            228895108       4,200       1,000       X     28-5284       1000

  CRYOLIFE INC                   COM            228903100      12,045         750       X   X 28-5284                            750

  CUBIST PHARMACEUTICALS INC     COM            229678107       1,412         150       X     28-5284        150

  CUMMINS INC                    COM            231021106      65,538       1,980       X     28-5284       1980
                                                               66,200       2,000       X   X 28-5284                           2000

  CUMULUS MEDIA INC              CL A           231082108     415,770      30,172       X     28-5284      30172
                                                               30,316       2,200       X   X 28-5284                           2200

  CURAGEN CORP                   COM            23126R101      22,520       4,000       X     28-5284       4000
                                                                5,630       1,000       X   X 28-5284       1000

  CURIS INC                      COM            231269101       1,830       1,500       X   X 28-5284                           1500

  CURTISS WRIGHT CORP            CL B           231561408      65,621         868       X     28-5284        817                  51

  CYBERCARE INC                  COM            23243T105          35         235       X     28-5284        235

  CYBERONICS INC                 COM            23251P102      32,798       2,500       X     28-5284                           2500

  CYBEX INTL INC                 COM            23252E106       3,476       2,200       X     28-5284       2200

  CYGNUS INC                     COM            232560102      22,790      10,600       X     28-5284      10600

  CYMER INC                      COM            232572107      14,016         400       X     28-5284        400

  CYPRESS SEMICONDUCTOR CORP     COM            232806109      38,709       2,550       X     28-5284       2550
                                                               40,986       2,700       X   X 28-5284       2700

  CYTEC INDS INC                 COM            232820100       4,244         135       X     28-5284        135
                                                              139,908       4,450       X   X 28-5284       3243       427       780
                                                               43,104       1,371       X   X 28-4580       1371

  CYTOGEN CORP                   COM            232824102       2,382       2,226       X     28-5284       2226

  D & E COMMUNICATIONS INC       COM            232860106       2,312         220       X   X 28-5284                  220

  D & K HEALTHCARE RES INC       COM            232861104     188,923       5,358       X     28-5284       5358
0                COLUMN TOTAL                               1,224,765
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    54 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  CYTYC CORP                     COM            232946103       8,763       1,150       X     28-5284       1150
                                                               12,764       1,675       X   X 28-5284        100                1575
                                                                1,715         225       X   X 28-1500        225

  DMC STRATEX NETWORKS INC       COM            23322L106       4,575       2,276       X     28-5284       2276

  DMI FURNITURE INC              COM            233230101       9,000       5,000       X     28-5284       5000

  DNP SELECT INCOME FD           COM            23325P104   1,038,329     101,997       X     28-5284     101797                 200
                                                               98,644       9,690       X   X 28-5284       9690
                                                               57,548       5,653       X     28-1500                 5653

  DPAC TECHNOLOGIES CORP         COM            233269109     108,000      50,000       X     28-5284      50000
                                                               25,272      11,700       X   X 28-5284                11700

  DQE INC                        COM            23329J104     407,946      29,139       X     28-5284      28230       200       709
                                                              429,464      30,676       X   X 28-5284      16843      6156      7677
                                                               42,000       3,000       X     28-4580       3000

  DPL INC                        COM            233293109   1,136,213      42,957       X     28-5284      41984                 973
                                                              981,930      37,124       X   X 28-5284      33624      1850      1650
                                                              464,912      17,577       X   X 28-1500      17577

  D R HORTON INC                 COM            23331A109      78,090       3,000       X     28-5284       3000
                                                               78,168       3,003       X   X 28-5284                           3003

  DSP GROUP INC                  COM            23332B106      19,600       1,000       X   X 28-5284       1000
                                                                7,840         400       X     28-4580        400

  DST SYS INC DEL                COM            233326107      32,911         720       X     28-5284        220                 500

  DTE ENERGY CO                  COM            233331107     507,825      11,376       X     28-5284      10133                1243
                                                              242,886       5,441       X   X 28-5284       3946       204      1291
                                                               21,204         475       X   X 28-4580        475

  DAISYTEK INTL CORP             COM            234053106      84,800       5,000       X     28-5284       5000

  DANA CORP                      COM            235811106      95,040       5,129       X     28-5284       4229                 900
                                                              346,956      18,724       X   X 28-5284       5924     10800      2000
0                COLUMN TOTAL                               6,342,395
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    55 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  DANAHER CORP DEL               COM            235851102   6,087,745      91,752       X     28-5284      85017      1830      4905
                                                            5,087,121      76,671       X   X 28-5284      33967     32645     10059
                                                              123,411       1,860       X     28-4580       1860
                                                               42,464         640       X   X 28-4580        490       150

  DANKA BUSINESS SYS PLC         SPONSORED ADR  236277109       4,484       1,300       X   X 28-1500       1300

  DARDEN RESTAURANTS INC         COM            237194105   1,582,035      64,050       X     28-5284      63300                 750
                                                            1,770,175      71,667       X   X 28-5284      25710       900     45057
                                                               51,870       2,100       X     28-4580       2100

  DASSAULT SYS S A               SPONSORED ADR  237545108       2,238          50       X     28-5284                             50

  DATASCOPE CORP                 COM            238113104      11,056         400       X   X 28-5284                            400

  DAUGHERTY RES INC              COM            238215107       8,505      10,500       X     28-5284                          10500

  DAVITA INC                     COM            23918K108       1,452          61       X     28-5284         61

  DEAN FOODS CO NEW              COM            242370104     525,259      14,082       X     28-5284      12837       250       995
                                                               27,005         724       X   X 28-5284        724

  DEBT STRATEGIES FD INC NEW     COM            24276Q109     126,793      22,521       X     28-5284      22521
                                                               28,150       5,000       X   X 28-5284       5000

  DEERE & CO                     COM            244199105   1,285,828      26,844       X     28-5284      26844
                                                            2,094,475      43,726       X   X 28-5284      29726      4625      9375
                                                                3,257          68       X   X 28-1500         68
                                                               31,135         650       X     28-4580        650

  DELAWARE INVTS DIV & INCOME    COM            245915103      26,345       1,923       X     28-5284       1423       500

  DELAWARE INV GLBL DIV & INC    COM            245916101       8,820         700       X   X 28-5284        700

  DELL COMPUTER CORP             COM            247025109  48,149,383   1,841,981       X     28-5284    1715737      8400    117844
                                                           13,730,976     525,286       X   X 28-5284     336903    124212     64171
                                                              293,317      11,221       X   X 28-1500      11221
                                                            1,098,690      42,031       X     28-4580      40824                1207
                                                              424,697      16,247       X   X 28-4580      13946      2137       164
0                COLUMN TOTAL                              82,626,686
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    56 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  DELPHI CORP                    COM            247126105     917,017      69,471       X     28-5284      63932       753      4786
                                                            1,049,770      79,528       X   X 28-5284      32261     38315      8952
                                                                2,310         175       X   X 28-1500        175
                                                               29,080       2,203       X     28-4580       2203
                                                               48,272       3,657       X   X 28-4580       2764       893

  DELTA AIR LINES INC DEL        COM            247361108      22,200       1,110       X     28-5284       1110
                                                               53,020       2,651       X   X 28-5284       1376      1200        75
                                                               20,000       1,000       X   X 28-1500       1000

  DELTA NAT GAS INC              COM            247748106      80,327       3,700       X     28-5284       3700
                                                              276,564      12,739       X     28-1500      12739

  DELUXE CORP                    COM            248019101      15,556         400       X     28-5284        400
                                                              162,832       4,187       X   X 28-5284       2855      1332
                                                               89,253       2,295       X   X 28-1500       2295

  DENDRITE INTL INC              COM            248239105       4,274         442       X   X 28-5284                            442

  DENTSPLY INTL INC NEW          COM            249030107      31,374         850       X     28-5284        850
                                                               17,348         470       X   X 28-5284        170                 300

  DEPARTMENT 56 INC              COM            249509100       3,256         200       X   X 28-5284        200

  DEUTSCHE TELEKOM AG            SPONSORED ADR  251566105      21,432       2,302       X     28-5284       2302
                                                               15,827       1,700       X   X 28-5284       1400                 300

  DEVELOPERS DIVERSIFIED RLTY    COM            251591103     202,500       9,000       X     28-5284       9000
                                                               40,500       1,800       X   X 28-5284                 1400       400

  DEVON ENERGY CORP NEW          COM            25179M103     225,210       4,570       X     28-5284       4170                 400
                                                              893,003      18,121       X   X 28-5284       8269      7317      2535
                                                                6,406         130       X   X 28-1500        130

  DEVRY INC DEL                  COM            251893103      45,680       2,000       X     28-5284       2000

  DIACRIN INC                    COM            25243N103         705         500       X     28-5284        500

  DIAGEO P L C                   SPON ADR NEW   25243Q205      77,888       1,508       X     28-5284       1508
                                                              103,300       2,000       X   X 28-5284                           2000
                                                              206,600       4,000       X   X 28-1500       4000
0                COLUMN TOTAL                               4,661,504
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    57 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  DIAL CORP NEW                  COM            25247D101     761,961      38,060       X     28-5284      35516                2544
                                                               70,070       3,500       X   X 28-5284       1500      2000
                                                                4,004         200       X   X 28-4580        200

  DIAMOND OFFSHORE DRILLING IN   COM            25271C102      28,500       1,000       X     28-5284       1000
                                                               45,600       1,600       X   X 28-5284       1600

  DIAMONDS TR                    UNIT SER 1     252787106     685,925       7,413       X     28-5284       7413
                                                              933,628      10,090       X   X 28-5284      10090
                                                              184,135       1,990       X   X 28-1500       1990
                                                               43,952         475       X     28-4580        475

  DIANON SYS INC                 COM            252826102       8,013         150       X   X 28-5284        150

  DIEBOLD INC                    COM            253651103     155,924       4,187       X     28-5284       2887                1300
                                                               93,919       2,522       X   X 28-5284       1462                1060
                                                               29,792         800       X   X 28-4580        800

  DIGENE CORP                    COM            253752109       2,352         200       X   X 28-5284        200

  DIGEX INC DEL                  CL A           253756100          75         340       X     28-5284        340

  DIGI INTL INC                  COM            253798102       1,073         325       X     28-5284        325

  DIGITAL LIGHTWAVE INC          COM            253855100       2,106         900       X   X 28-5284        900

  DIGITAL VIDEO SYS INC          COM NEW        25387R407      15,795      12,057       X     28-5284      12057

  DIGITAS INC                    COM            25388K104         728         160       X     28-5284        160

  DILLARDS INC                   CL A           254067101       7,887         300       X   X 28-5284        300

  DIME BANCORP INC NEW           *W EXP 99/99/9 25429Q110       1,642      16,418       X     28-5284      16318                 100
                                                                  290       2,900       X   X 28-5284       2650                 250

  DIMON INC                      COM            254394109      41,520       6,000       X   X 28-5284                           6000

  DIONEX CORP                    COM            254546104      27,219       1,016       X   X 28-5284                 1016
0                COLUMN TOTAL                               3,146,110
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    58 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  DISNEY WALT CO                 COM DISNEY     254687106  39,043,204   2,065,778       X     28-5284    1625625     17279    422874
                                                           35,637,462   1,885,580       X   X 28-5284    1246426    328433    310721
                                                              778,567      41,194       X     28-1500                41194
                                                            1,137,667      60,194       X     28-4580      48194               12000
                                                              638,348      33,775       X   X 28-4580      23275     10500

  DITECH COMMUNICATIONS CORP     COM            25500M103       1,420         500       X     28-5284        500

  DIVERSA CORP                   COM            255064107       4,975         500       X     28-5284        500
                                                                4,975         500       X   X 28-1500        500

  DIVINE INC                     CL A NEW       255402406         257          66       X     28-5284         66
                                                                  133          34       X   X 28-1500         34

  DIXON TICONDEROGA CO           COM            255860108      10,500       7,000       X     28-4580       7000

  DOCUCORP INTL INC              COM            255911109       1,023         100       X     28-5284        100

  DOCENT INC                     COM            25608L106      23,000      20,000       X     28-5284      20000

  DR REDDYS LABS LTD             ADR            256135203       9,700         500       X     28-5284        500

  DOCUMENTUM INC                 COM            256159104     155,304      12,942       X     28-5284      12942

  DOLE FOOD INC                  COM            256605106      95,205       3,300       X   X 28-5284                           3300

  DOLLAR GEN CORP                COM            256669102     623,042      32,740       X     28-5284      29852                2888
                                                              223,412      11,740       X   X 28-5284       5640                6100
                                                              203,754      10,707       X     28-1500                10707

  DOLLAR TREE STORES INC         COM            256747106      25,617         650       X   X 28-5284                            650

  DOMINION RES BLACK WARRIOR T   UNITS BEN INT  25746Q108      20,845       1,100       X     28-5284       1100
                                                               47,375       2,500       X   X 28-5284       2500

  DOMINION RES INC VA NEW        COM            25746U109  20,781,372     313,918       X     28-5284     240140      7581     66197
                                                           25,459,527     384,585       X   X 28-5284     230279    132937     21369
                                                               44,486         672       X   X 28-1500        672
                                                              593,086       8,959       X     28-4580       8959
                                                              753,952      11,389       X   X 28-4580       9809       130      1450
0                COLUMN TOTAL                             126,318,208
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    59 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  DONALDSON INC                  COM            257651109   3,565,320     101,750       X     28-5284      23300               78450
                                                               31,536         900       X   X 28-5284                  900
                                                               55,188       1,575       X   X 28-1500       1575

  DONEGAL GROUP INC              CL A           257701201      12,219       1,184       X   X 28-5284       1184

  DONEGAL GROUP INC              CL B           257701300       6,074         592       X   X 28-5284        592

  DONNELLEY R R & SONS CO        COM            257867101     776,442      28,183       X     28-5284      28183
                                                            1,573,628      57,119       X   X 28-5284       2684     45635      8800
                                                                2,066          75       X   X 28-1500         75
                                                               55,100       2,000       X   X 28-4580       2000

  DORAL FINL CORP                COM            25811P100      13,356         400       X   X 28-5284        400
                                                              133,560       4,000       X   X 28-4580       4000

  DOUBLECLICK INC                COM            258609304       5,800         800       X     28-5284        800
                                                               40,165       5,540       X   X 28-5284        540                5000

  DOVER CORP                     COM            260003108  46,956,350   1,341,610       X     28-5284     713085      2375    626150
                                                            9,946,895     284,197       X   X 28-5284     101700     45797    136700
                                                              618,975      17,685       X     28-1500                17685
                                                              112,000       3,200       X     28-4580       3200

  DOW CHEM CO                    COM            260543103  29,645,393     862,286       X     28-5284     781618     22700     57968
                                                           25,911,931     753,692       X   X 28-5284     455013    187889    110790
                                                              167,224       4,864       X   X 28-1500       4864
                                                              502,498      14,616       X     28-4580      14616
                                                              346,791      10,087       X   X 28-4580       9937       150

  DOW JONES & CO INC             COM            260561105     537,359      11,091       X     28-5284      10691       400
                                                            2,005,878      41,401       X   X 28-5284      25881      9450      6070
                                                                1,357          28       X   X 28-1500         28
                                                              222,870       4,600       X     28-4580       4600
                                                              119,914       2,475       X   X 28-4580       1875                 600

  DREXLER TECHNOLOGY CORP        COM            261876106      10,800         500       X     28-5284        500

  DREYFUS STRATEGIC MUNS INC     COM            261932107      27,774       2,797       X     28-5284       2797
                                                               10,178       1,025       X   X 28-5284       1025

  DREYFUS HIGH YIELD STRATEGIE   SH BEN INT     26200S101      14,641       3,453       X     28-5284       3453
0                COLUMN TOTAL                             123,429,282
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    60 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  DREYFUS MUN INCOME INC         COM            26201R102       7,339         796       X     28-5284        796

  DREYFUS STRATEGIC MUN BD FD    COM            26202F107      17,882       2,032       X     28-5284       2032
                                                               67,258       7,643       X   X 28-5284       7643

  DU PONT E I DE NEMOURS & CO    COM            263534109  79,130,657   1,782,222       X     28-5284    1662761     64218     55243
                                                          113,507,756   2,556,481       X   X 28-5284    1106007   1173356    277118
                                                              874,103      19,687       X     28-1500                19687
                                                           41,915,154     944,035       X     28-4580     942043                1992
                                                           31,718,206     714,374       X   X 28-4580     614776     12004     87594

  DUANE READE INC                COM            263578106      17,706         520       X     28-5284        520
                                                                7,661         225       X   X 28-5284                            225

  DUCOMMUN INC DEL               COM            264147109      19,680         750       X     28-5284        750

  DUFF & PHELPS UTIL CORP BD T   COM            26432K108      93,554       7,050       X     28-5284       4050                3000
                                                                4,817         363       X   X 28-5284                  363

  DUKE ENERGY CORP               COM            264399106  21,750,749     699,381       X     28-5284     571057     10405    117919
                                                           18,607,939     598,326       X   X 28-5284     305377    200565     92384
                                                              147,538       4,744       X     28-1500                 4744
                                                              284,658       9,153       X     28-4580       9153
                                                              113,826       3,660       X   X 28-4580       1260       200      2200

  DUKE ENERGY CORP               UNIT 99/99/999 264399585      90,000       4,000       X     28-5284       4000
                                                               22,500       1,000       X   X 28-5284                 1000
                                                               45,000       2,000       X     28-4580       2000

  DUKE REALTY CORP               COM NEW        264411505   1,662,338      57,421       X     28-5284      57021                 400
                                                              477,675      16,500       X   X 28-5284      10500      6000
                                                               14,475         500       X   X 28-1500        500
                                                               28,950       1,000       X     28-4580       1000
                                                              144,750       5,000       X   X 28-4580       5000

  DUN & BRADSTREET CORP DEL NE   COM            26483E100   1,076,604      32,575       X     28-5284      30165                2410
                                                              350,892      10,617       X   X 28-5284       8572      2045
                                                                  562          17       X   X 28-1500         17
                                                               63,886       1,933       X   X 28-4580       1933

  DUPONT PHOTOMASKS INC          COM            26613X101      16,240         500       X     28-4580        500

  DYAX CORP                      COM            26746E103      42,900      11,000       X     28-5284      11000
0                COLUMN TOTAL                             312,323,255
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    61 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  DYCOM INDS INC                 COM            267475101         199          17       X     28-5284         17

  DYNAMEX INC                    COM            26784F103       7,207       3,203       X     28-5284       3203

  DYNACQ INTL INC                COM PAR $.001  267919306       2,818         200       X   X 28-5284        200

  DYNEGY INC NEW                 CL A           26816Q101      34,920       4,850       X     28-5284       4578                 272
                                                               11,520       1,600       X   X 28-5284       1600
                                                                9,360       1,300       X   X 28-1500       1300

  EB2B COMM INC                  COM NEW        26824R406          83         759       X   X 28-5284                            759

  ECI TELECOM LTD                ORD            268258100         300         100       X   X 28-5284        100

  EEX CORP                       COM NEW        26842V207          98          49       X     28-5284         49
                                                                  448         224       X   X 28-5284                  224

  EGL INC                        COM            268484102      38,923       2,295       X   X 28-5284                           2295

  E M C CORP MASS                COM            268648102  17,591,530   2,330,004       X     28-5284    2200385     28742    100877
                                                            5,540,303     733,815       X   X 28-5284     493903    176135     63777
                                                              303,133      40,150       X   X 28-1500      40150
                                                              356,413      47,207       X     28-4580      47207
                                                              131,295      17,390       X   X 28-4580      16150      1240

  ENSCO INTL INC                 COM            26874Q100      99,472       3,649       X   X 28-5284        600                3049

  ENI S P A                      SPONSORED ADR  26874R108     293,200       3,665       X     28-5284       3665

  EOG RES INC                    COM            26875P101   6,273,394     158,020       X     28-5284     130005       525     27490
                                                            1,595,980      40,201       X   X 28-5284      20516     11645      8040
                                                                3,970         100       X   X 28-1500        100
                                                               82,973       2,090       X     28-4580       2090
                                                                4,764         120       X   X 28-4580                  120

  EP MEDSYSTEMS INC              COM            26881P103       1,125         500       X   X 28-5284        500

  E PIPHANY INC                  COM            26881V100         944         215       X     28-5284        215
                                                                1,317         300       X   X 28-5284        300

  ESB FINL CORP                  COM            26884F102     218,161      17,780       X     28-5284      17780
                                                               48,663       3,966       X   X 28-5284                           3966
0                COLUMN TOTAL                              32,652,513
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    62 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ESS TECHNOLOGY INC             COM            269151106     135,058       7,700       X     28-5284       7500                 200

  E TRADE GROUP INC              COM            269246104       8,736       1,600       X     28-5284                           1600
                                                                8,190       1,500       X   X 28-5284                           1500

  EARTHSHELL CORP                COM            27032B100       1,150       1,000       X     28-5284       1000
                                                                3,450       3,000       X   X 28-5284       3000

  EARTHLINK INC                  COM            270321102      56,852       8,575       X     28-5284       8075                 500
                                                                6,935       1,046       X   X 28-5284       1046

  EASTGROUP PPTY INC             COM            277276101     435,200      17,000       X   X 28-5284      17000

  EASTMAN CHEM CO                COM            277432100     170,951       3,645       X     28-5284       3407        14       224
                                                              662,885      14,134       X   X 28-5284       9116      4495       523
                                                               14,070         300       X     28-4580        300
                                                               53,701       1,145       X   X 28-4580       1145

  EASTMAN KODAK CO               COM            277461109   2,331,471      79,927       X     28-5284      66737      9814      3376
                                                            3,809,048     130,581       X   X 28-5284      91175     33694      5712
                                                              191,618       6,569       X   X 28-1500       6569
                                                               94,803       3,250       X     28-4580       3250
                                                              119,014       4,080       X   X 28-4580       4080

  EASYLINK SVCS CORP             CL A NEW       27784T200         503         402       X     28-5284        402

  EATON CORP                     COM            278058102     878,602      12,077       X     28-5284      11977       100
                                                            1,430,774      19,667       X   X 28-5284       3492     16175
                                                               36,375         500       X   X 28-1500        500

  EATON VANCE NJ MUNI INCOME T   SH BEN INT     27826V106      14,700       1,000       X     28-5284       1000
                                                               16,376       1,114       X   X 28-5284       1114

  EATON VANCE CORP               COM NON VTG    278265103       9,360         300       X     28-5284        300

  EBAY INC                       COM            278642103     155,098       2,517       X     28-5284       2517
                                                              336,384       5,459       X   X 28-5284       5459
                                                                8,627         140       X     28-1500                  140

  ECHELON CORP                   COM            27874N105     158,424      12,300       X   X 28-5284      12300
                                                                2,576         200       X   X 28-1500        200

  ECHO BAY MINES LTD             COM            278751102       1,150       1,000       X     28-5284       1000
0                COLUMN TOTAL                              11,152,081
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE    63 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ECHOSTAR COMMUNICATIONS NEW    CL A           278762109      18,560       1,000       X     28-5284       1000
                                                              355,424      19,150       X   X 28-5284       1650       300     17200
                                                               19,674       1,060       X     28-1500                 1060

  ECLIPSYS CORP                  COM            278856109      28,289       4,313       X     28-5284       4313

  ECOLAB INC                     COM            278865100   6,174,987     133,571       X     28-5284      48036        90     85445
                                                              882,577      19,091       X   X 28-5284       9730      8381       980
                                                              212,658       4,600       X     28-4580       4600

  EDGAR ONLINE INC               COM            279765101       1,980       1,000       X   X 28-5284       1000

  EDISON INTL                    COM            281020107     150,824       8,872       X     28-5284       8872
                                                              161,007       9,471       X   X 28-5284       5908      3563

  EDUCATION MGMT CORP            COM            28139T101   1,547,740      38,000       X     28-5284      38000
                                                               81,460       2,000       X   X 28-5284       2000

  J D EDWARDS & CO               COM            281667105      71,904       5,918       X     28-5284       5918
                                                              218,700      18,000       X   X 28-5284      18000
                                                               10,935         900       X   X 28-1500        900

  EDWARDS LIFESCIENCES CORP      COM            28176E108     134,908       5,815       X     28-5284       4295                1520
                                                              104,191       4,491       X   X 28-5284       1459       715      2317
                                                                  928          40       X   X 28-1500         40

  EDWARDS AG INC                 COM            281760108      57,217       1,472       X     28-5284                           1472
                                                               34,983         900       X   X 28-1500        900

  EFUNDS CORP                    COM            28224R101       1,044         110       X     28-5284        110
                                                                8,882         936       X   X 28-5284        275       661

  1838 BD-DEB TRADING FD         COM            282520105      25,311       1,300       X     28-5284       1300

  EL PASO CORP                   COM            28336L109  12,445,926     603,878       X     28-5284     546475      6868     50535
                                                            3,755,018     182,194       X   X 28-5284      98212     52161     31821
                                                               50,474       2,449       X   X 28-1500       2449
                                                              229,822      11,151       X     28-4580      11026                 125
                                                               86,253       4,185       X   X 28-4580       4055       130

  EL PASO ENERGY PARTNERS L P    COM            28368B102      41,431       1,300       X     28-5284       1300
                                                              101,984       3,200       X   X 28-5284       3200
                                                               35,057       1,100       X   X 28-1500       1100
0                COLUMN TOTAL                              27,050,148
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    64 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ELAN PLC                       ADR            284131208      95,725      17,500       X     28-5284      17000                 500
                                                               59,656      10,906       X   X 28-5284       6184      1200      3522
                                                                1,641         300       X   X 28-1500        300

  ELDER BEERMAN STORES CORP NE   COM            284470101         446         144       X   X 28-1500        144

  ELECTRO SCIENTIFIC INDS        COM            285229100      17,010         700       X     28-5284        700
                                                                9,720         400       X   X 28-5284                            400

  ELECTRONIC ARTS INC            COM            285512109     207,793       3,146       X     28-5284       3146
                                                              871,860      13,200       X   X 28-5284      13200

  ELECTRONIC DATA SYS NEW        COM            285661104  24,593,411     662,003       X     28-5284     555467      4819    101717
                                                            9,276,875     249,714       X   X 28-5284     122651    110466     16597
                                                              150,458       4,050       X   X 28-1500       4050
                                                              172,079       4,632       X     28-4580       4632
                                                              310,685       8,363       X   X 28-4580       7895       468

  ELECTRONICS BOUTIQUE HLDGS C   COM            286045109     111,340       3,800       X     28-5284       3800
                                                                4,395         150       X   X 28-1500        150

  ELECTRONICS FOR IMAGING INC    COM            286082102      11,137         700       X     28-5284        700

  EMBREX INC                     COM            290817105       3,138         150       X   X 28-5284        150

  EMCORE CORP                    COM            290846104       2,400         400       X     28-5284        400

  EMERGE INTERACTIVE INC         CL A           29088W103      43,097     187,380       X     28-5284     187380
                                                                   23         100       X   X 28-5284        100

  EMERSON ELEC CO                COM            291011104  57,026,035   1,065,708       X     28-5284    1015776     12679     37253
                                                           47,960,424     896,289       X   X 28-5284     531205    309726     55358
                                                              200,930       3,755       X     28-1500                 3755
                                                              904,480      16,903       X     28-4580      16903
                                                            1,575,334      29,440       X   X 28-4580      23100      5540       800

  EMISPHERE TECHNOLOGIES INC     COM            291345106      12,151       2,900       X     28-5284       2900

  EMPIRE DIST ELEC CO            COM            291641108       6,150         300       X     28-5284        300

  EMULEX CORP                    COM NEW        292475209     465,714      20,680       X     28-5284      20480                 200
                                                               45,040       2,000       X     28-4580       2000
0                COLUMN TOTAL                             144,139,147
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    65 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ENBRIDGE ENERGY PARTNERS L P   COM            29250R106     205,318       4,583       X     28-5284       4583
                                                               65,632       1,465       X   X 28-5284        800       665
                                                               76,250       1,702       X   X 28-1500       1702

  ENCANA CORP                    COM            292505104     264,017       8,628       X     28-5284       8628
                                                               23,317         762       X   X 28-5284        762

  ENCOMPASS SVCS CORP            COM            29255U104         570       1,000       X     28-5284       1000

  ENDESA S A                     SPONSORED ADR  29258N107       4,869         340       X     28-5284        340
                                                                1,432         100       X   X 28-1500        100

  ENERGEN CORP                   COM            29265N108      35,695       1,298       X     28-5284        298                1000
                                                               46,750       1,700       X   X 28-1500       1700

  ENEL SOCIETA PER AZIONI        ADR            29265W108       4,305         150       X   X 28-5284                            150

  ENERGY CONVERSION DEVICES IN   COM            292659109      14,121         900       X     28-5284        900
                                                                7,845         500       X   X 28-5284                            500

  ENERGY EAST CORP               COM            29266M109     324,378      14,353       X     28-5284      12653                1700
                                                              293,936      13,006       X   X 28-5284       7838      1268      3900

  ENERGIZER HLDGS INC            COM            29266R108     102,030       3,721       X     28-5284       3721
                                                            1,021,422      37,251       X   X 28-5284      12252       723     24276

  ENERGY PWR SYS LTD             COM            29270V103       1,640       1,000       X     28-5284       1000

  ENERPLUS RES FD                UNIT TR G NEW  29274D604      18,550       1,000       X   X 28-5284       1000

  ENGAGE INC                     COM            292827102         270       3,000       X   X 28-5284       3000

  ENGELHARD CORP                 COM            292845104     208,152       7,350       X     28-5284       4850                2500
                                                               50,041       1,767       X   X 28-5284       1403       364

  ENGINEERED SUPPORT SYS INC     COM            292866100     130,750       2,500       X   X 28-1500       2500

  ENNIS BUSINESS FORMS INC       COM            293389102      23,490       1,800       X     28-5284       1800
                                                               52,200       4,000       X     28-4580       4000

  ENPRO INDS INC                 COM            29355X107       2,919         556       X     28-5284        556
                                                                  882         168       X   X 28-5284        168
                                                                8,610       1,640       X   X 28-1500       1640
0                COLUMN TOTAL                               2,989,391
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    66 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  ENTEGRIS INC                   COM            29362U104      13,140         900       X     28-5284        900

  ENTERASYS NETWORKS INC         COM            293637104       9,612       5,400       X     28-5284       5400
                                                                9,968       5,600       X   X 28-5284                 1600      4000

  ENTERCOM COMMUNICATIONS CORP   CL A           293639100     277,695       6,050       X   X 28-5284                           6050

  ENTERGY CORP NEW               COM            29364G103   5,692,392     134,128       X     28-5284     101873      1302     30953
                                                            2,999,829      70,684       X   X 28-5284      29738     32201      8745
                                                                2,546          60       X   X 28-1500         60
                                                               22,154         522       X   X 28-4580        522

  ENTERPRISE PRODS PARTNERS L    COM            293792107      97,500       6,000       X     28-5284       6000
                                                              107,250       6,600       X   X 28-5284       6600

  ENTRAVISION COMMUNICATIONS C   CL A           29382R107     243,163      19,850       X   X 28-5284                          19850

  ENTRUST INC                    COM            293848107         544         200       X     28-5284        200

  ENZON INC                      COM            293904108       1,231          50       X     28-5284         50
                                                                1,329          54       X   X 28-5284         54

  ENZO BIOCHEM INC               COM            294100102      39,493       2,756       X     28-5284       2756

  EOTT ENERGY PARTNERS L P       UNIT LTD PRTNR 294103106       2,330         500       X     28-5284        500
                                                               71,484      15,340       X   X 28-1500      15340

  EQUIFAX INC                    COM            294429105   3,088,476     114,388       X     28-5284     113538                 850
                                                            1,973,943      73,109       X   X 28-5284      63089      4520      5500
                                                               10,800         400       X     28-4580        400

  EQUITABLE RES INC              COM            294549100   1,320,001      38,484       X     28-5284      36726                1758
                                                            1,533,999      44,723       X   X 28-5284      31973     10550      2200
                                                               48,637       1,418       X   X 28-4580       1418

  EQUITY INCOME FD               UT 1 EX SR-ATT 294700703     856,583      10,042       X     28-5284       7375        70      2597
                                                              283,111       3,319       X   X 28-5284       2869       450
                                                               17,060         200       X   X 28-1500        200

  EQUITY MARKETING INC           COM            294724109       6,625         500       X   X 28-5284        500

  EQUITY OFFICE PROPERTIES TRU   COM            294741103   5,806,501     192,907       X     28-5284     192907
                                                           22,518,262     748,115       X   X 28-5284     748115
0                COLUMN TOTAL                              47,055,658
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    67 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  EQUITY RESIDENTIAL             SH BEN INT     29476L107     116,840       4,064       X     28-5284       4064
                                                              194,494       6,765       X   X 28-5284       3865                2900

  EQUITY RESIDENTIAL             PFD CV 1/10 G  29476L859      25,050       1,000       X     28-5284       1000

  EQUITY RESIDENTIAL             PFD CONV E 7%  29476L883       9,600         300       X   X 28-5284        300

  ERESEARCHTECHNOLOGY INC        COM            29481V108      25,320       1,000       X     28-5284       1000
                                                              113,940       4,500       X   X 28-5284       4500

  ERICSSON L M TEL CO            ADR CL B SEK10 294821400     242,457     168,373       X     28-5284     166373                2000
                                                               75,990      52,771       X   X 28-5284      39371     10400      3000
                                                                4,032       2,800       X   X 28-1500       2800

  ERIE INDTY CO                  CL A           29530P102 287,257,909   7,091,037       X     28-5284     432537             6658500
                                                          430,279,963  10,621,574       X   X 28-5284     528674            10092900

  ESCO TECHNOLOGIES INC          COM            296315104         910          26       X   X 28-5284                             26

  ESPERION THERAPEUTICS INC      COM            29664R106      28,062       5,168       X                   5168

  ESSEX PPTY TR INC              COM            297178105       5,470         100       X   X 28-5284        100

  ESTERLINE TECHNOLOGIES CORP    COM            297425100      10,215         450       X     28-4580        450

  ETABLISSEMENTS DELHAIZE FRER   SPONSORED ADR  29759W101       3,074          66       X   X 28-1500         66

  ETHAN ALLEN INTERIORS INC      COM            297602104      85,383       2,450       X     28-5284       2450
                                                              114,482       3,285       X   X 28-5284        235                3050

  EUROTECH LTD                   COM            298796103         340       1,700       X   X 28-5284                           1700

  EVERGREEN RES INC              COM NO PAR     299900308     153,000       3,600       X     28-5284       3200       400
                                                               12,750         300       X   X 28-5284                            300

  EVERGREEN SOLAR INC            COM            30033R108       1,391         973       X   X 28-5284        973

  EVERTRUST FINL GROUP INC       COM            300412103      12,601         700       X     28-5284        700

  EXACT SCIENCES CORP            COM            30063P105       1,597         100       X     28-5284        100

  EXACTECH INC                   COM            30064E109      15,310       1,000       X     28-5284       1000

  EXAR CORP                      COM            300645108       7,888         400       X     28-5284        400
0                COLUMN TOTAL                             718,798,068
0
0
0








1                                                                                                                   FILE NO. 28-1235
   PAGE    68 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                   
  EXCEL TECHNOLOGY INC           COM            30067T103       1,575          75       X   X 28-5284         75

  EXCELON CORP                   COM            300691102         223         250       X     28-5284        250

  EXELON CORP                    COM            30161N101  14,513,721     277,509       X     28-5284     234151      3456     39902
                                                            6,356,385     121,537       X   X 28-5284      67490     46152      7895
                                                                7,950         152       X   X 28-1500        152
                                                              417,511       7,983       X     28-4580       7983
                                                               17,259         330       X   X 28-4580                  330

  EXELIXIS INC                   COM            30161Q104       1,370         182       X   X 28-5284                            182

  EXEGENICS INC                  COM            301610101       1,215       1,500       X   X 28-5284                           1500

  EXFO ELECTRO OPTICAL ENGR IN   SUB VTG SHS    302043104         170          75       X     28-5284         75

  EXPEDITORS INTL WASH INC       COM            302130109     132,640       4,000       X   X 28-5284                           4000

  EXPRESSJET HOLDINGS INC        CL A           30218U108      97,875       7,500       X   X 28-5284                           7500

  EXPRESS SCRIPTS INC            COM            302182100      47,905         956       X   X 28-5284        956

  EXTREME NETWORKS INC           COM            30226D106     107,963      10,700       X     28-5284      10700

  EXULT INC DEL                  COM            302284104      42,393       6,522       X     28-5284       6522

  EXXON MOBIL CORP               COM            30231G102 641,891,212  15,686,491       X     28-5284   13730560    399876   1556055
                                                          867,696,979  21,204,716       X   X 28-5284    7703853   5048629   8452234
                                                            1,703,459      41,629       X     28-1500                41629
                                                           21,413,109     523,292       X     28-4580     513659                9633
                                                           40,810,334     997,320       X   X 28-4580     649883     88050    259387

  F&M BANCORP MD                 COM            302367107       1,658          47       X     28-5284         47

  FEI CO                         COM            30241L109      80,883       3,300       X     28-5284       3300

  FMC TECHNOLOGIES INC           COM            30249U101      21,217       1,022       X     28-5284       1022
                                                               94,603       4,557       X   X 28-5284        557                4000
                                                               17,833         859       X   X 28-4580        859

  F M C CORP                     COM NEW        302491303      26,761         887       X     28-5284        595                 292
                                                               85,230       2,825       X   X 28-5284        325                2500
                                                               15,085         500       X   X 28-4580        500
0                COLUMN TOTAL                           1,595,604,518
0
0
0






1                                                                                                                  FILE NO. 28-1235
   PAGE    69 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  FNB CORP PA                    COM            302520101     167,012       6,082       X     28-5284       4402                1680
                                                              247,442       9,011       X   X 28-5284       5411                3600

  FNB CORP PA                    PFD CV SER B   302520200      14,750         200       X     28-5284        200
                                                               22,125         300       X   X 28-5284        300

  FPIC INS GROUP INC             COM            302563101       6,020         400       X     28-5284        400

  FPL GROUP INC                  COM            302571104  28,698,976     478,396       X     28-5284     399994      3481     74921
                                                           20,781,916     346,423       X   X 28-5284     173442    132879     40102
                                                               20,097         335       X     28-1500                  335
                                                              772,851      12,883       X     28-4580      12883
                                                              269,175       4,487       X   X 28-4580       2627       960       900

  FAHNESTOCK VINER HLDGS INC     CL A           302921101      11,000         500       X     28-5284        500

  FTI CONSULTING INC             COM            302941109     199,557       5,700       X   X 28-5284       5700

  FACTSET RESH SYS INC           COM            303075105      14,885         500       X     28-5284        500
                                                              164,182       5,515       X   X 28-5284                           5515

  FAIR ISAAC & CO INC            COM            303250104     128,193       3,900       X     28-5284       3900
                                                               52,592       1,600       X   X 28-5284                           1600

  FAIRCHILD SEMICONDUCTOR INTL   CL A           303726103     218,700       9,000       X     28-5284       9000

  FAIRMONT HOTELS RESORTS INC    COM            305204109      13,560         526       X     28-5284        526
                                                                2,578         100       X   X 28-5284        100

  FAMILY DLR STORES INC          COM            307000109     644,723      18,290       X     28-5284      17240                1050
                                                              711,169      20,175       X   X 28-5284      14875      3800      1500
                                                               21,150         600       X   X 28-1500        600

  FARMERS CAP BK CORP            COM            309562106     482,220      13,680       X     28-5284       9480                4200

  FASTENAL CO                    COM            311900104      19,255         500       X     28-5284        500
                                                              272,266       7,070       X   X 28-5284                  200      6870

  FEDERAL AGRIC MTG CORP         CL C           313148306      13,350         500       X     28-5284        500
0                COLUMN TOTAL                              53,969,744
0
0
0






1                                                                                                                  FILE NO. 28-1235
   PAGE    70 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  FEDERAL HOME LN MTG CORP       COM            313400301  91,942,963   1,502,336       X     28-5284    1057616      6760    437960
                                                           18,683,136     305,280       X   X 28-5284     143185     52655    109440
                                                              960,167      15,689       X     28-1500                15689
                                                            1,248,908      20,407       X     28-4580      19539                 868
                                                              272,646       4,455       X   X 28-4580       3535       920

  FEDERAL NATL MTG ASSN          COM            313586109 136,294,720   1,848,064       X     28-5284    1667507     28123    152434
                                                           87,044,986   1,180,271       X   X 28-5284     793508    287018     99745
                                                              317,125       4,300       X   X 28-1500       4300
                                                            1,442,181      19,555       X     28-4580      19555
                                                              605,193       8,206       X   X 28-4580       7006      1200

  FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206     427,427      15,425       X     28-5284      15425
                                                              889,297      32,093       X   X 28-5284      15500     16593

  FEDERAL SIGNAL CORP            COM            313855108      12,000         500       X     28-5284        500
                                                               11,280         470       X   X 28-5284         70       400
                                                               65,400       2,725       X   X 28-1500       2725

  FEDERATED DEPT STORES INC DE   COM            31410H101     546,272      13,760       X     28-5284      12760      1000
                                                               83,172       2,095       X   X 28-5284       1050                1045
                                                               80,790       2,035       X   X 28-1500       2035

  FEDERATED INVS INC PA          CL B           314211103      91,611       2,650       X     28-5284       2650
                                                              705,055      20,395       X   X 28-5284      12875                7520

  FEDEX CORP                     COM            31428X106   1,135,498      21,264       X     28-5284      21264
                                                              347,420       6,506       X   X 28-5284       3800      1500      1206
                                                               27,394         513       X   X 28-1500        513
                                                              838,380      15,700       X     28-4580      15700

  FELCOR LODGING TR INC          COM            31430F101       9,175         500       X     28-5284        500
                                                               67,895       3,700       X   X 28-5284       1500      2200

  FERRELLGAS PARTNERS L.P.       UNIT LTD PART  315293100      40,966       2,069       X     28-5284       2069

  FERRO CORP                     COM            315405100      66,330       2,200       X     28-5284       2200
                                                                9,045         300       X   X 28-4580        300

  F5 NETWORKS INC                COM            315616102         782          80       X   X 28-1500         80

  FIBERCORE INC                  COM            31563B109         750       3,000       X   X 28-5284                           3000
0                COLUMN TOTAL                             344,267,964
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE    71 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  FIDELITY NATL FINL INC         COM            316326107      35,455       1,122       X     28-5284       1122
                                                           60,569,016   1,916,741       X   X 28-5284       2301   1791062    123378

  FIFTH THIRD BANCORP            COM            316773100 113,052,463   1,696,211       X     28-5284    1460757      4330    231124
                                                           21,926,317     328,977       X   X 28-5284     272428     39225     17324
                                                            2,863,084      42,957       X     28-1500        137     42820
                                                              487,678       7,317       X     28-4580       7317
                                                              101,308       1,520       X   X 28-4580       1190       330

  FILENET CORP                   COM            316869106       2,900         200       X     28-5284        200
                                                               21,750       1,500       X   X 28-1500       1500

  FINANCIAL FED CORP             COM            317492106     267,614       8,085       X   X 28-5284                           8085

  FINISAR                        COM            31787A101       6,518       2,750       X     28-5284       2750

  FIRST AMERN CORP CALIF         COM            318522307     300,495      13,065       X     28-5284      13065
                                                               57,500       2,500       X   X 28-5284       2500

  FIRST AVIATION SVCS INC        COM            31865W108      14,250       3,000       X     28-5284       3000

  FIRST BANCORP N C              COM            318910106      17,139         623       X     28-5284        623

  FIRST BKS AMER INC             COM            31928N103   2,489,940      63,600       X     28-1500      63600

  FIRST BELL BANCORP INC         COM            319301107     171,500      10,000       X   X 28-5284      10000

  FIRST CAPITAL INC              COM            31942S104      24,750       1,500       X     28-5284       1500

  FIRST CHARTER CORP             COM            319439105       6,328         350       X     28-5284        350

  FIRST COMWLTH FINL CORP PA     COM            319829107     109,269       8,100       X     28-5284       8100
                                                            2,883,488     213,750       X   X 28-5284     212750      1000

  FIRST DATA CORP                COM            319963104  23,172,810     622,925       X     28-5284     581625     11250     30050
                                                            6,666,872     179,217       X   X 28-5284     114608     49111     15498
                                                               34,856         937       X   X 28-1500        937
                                                              360,468       9,690       X     28-4580       9690
                                                               44,528       1,197       X   X 28-4580       1197

  FIRST ESSEX BANCORP INC        COM            320103104       3,420         100       X     28-5284        100
0                COLUMN TOTAL                             235,691,716
0
0
0






1                                                                                                                  FILE NO. 28-1235
   PAGE    72 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  FIRST FINL BANKSHARES          COM            32020R109      41,839       1,000       X     28-5284       1000
                                                              193,505       4,625       X     28-1500       4625

  FIRST FINL BANCORP OH          COM            320209109     306,310      15,652       X   X 28-5284      15652
                                                              202,471      10,346       X   X 28-1500      10346

  FIRST FRANKLIN CORP            COM            320272107     944,169      72,074       X   X 28-5284      72074

  FIRST HORIZON PHARMACEUTICAL   COM            32051K106       8,276         400       X     28-5284        400

  FIRST INDUSTRIAL REALTY TRUS   COM            32054K103     686,565      20,900       X     28-5284      20900
                                                               13,140         400       X   X 28-5284                  400

  FIRST INVS FINL SVCS GROUP I   COM            32058A101      13,400       4,000       X   X 28-1500       4000

  FIRST KEYSTONE FINL INC        COM            320655103       7,448         400       X     28-5284        400
                                                               18,620       1,000       X   X 28-5284                 1000

  FIRST LONG IS CORP             COM            320734106     450,800       9,200       X     28-1500       9200

  FIRST MARINER BANCORP          COM            320795107     273,085      24,600       X     28-1500      24600

  FIRST MIDWEST BANCORP DEL      COM            320867104     230,574       8,300       X   X 28-5284       7300      1000

  FIRST HEALTH GROUP CORP        COM            320960107      42,621       1,520       X     28-5284       1200                 320
                                                               89,728       3,200       X   X 28-1500       3200

  FIRST SENTINEL BANCORP INC     COM            33640T103      20,709       1,505       X     28-5284       1505
                                                               30,272       2,200       X   X 28-5284       1000                1200

  FIRST ST BANCORPORATION        COM            336453105   1,281,800      49,300       X     28-1500      49300

  FIRST TENN NATL CORP           COM            337162101     306,400       8,000       X     28-5284       8000
                                                              462,664      12,080       X   X 28-5284      12080
                                                              126,850       3,312       X   X 28-1500       3312

  FIRST VA BANKS INC             COM            337477103     321,506       5,996       X   X 28-5284       3251      2745

  FIRST W VA BANCORP INC         COM            337493100      20,572       1,159       X     28-5284       1159

  FISERV INC                     COM            337738108     135,350       3,687       X     28-5284       3237                 450
                                                               65,601       1,787       X   X 28-5284       1237       550
0                COLUMN TOTAL                               6,294,275
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE    73 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  FIRSTMERIT CORP                COM            337915102      27,111         983       X     28-5284        983
                                                              308,896      11,200       X   X 28-5284      11200

  FLAGSTAR BANCORP INC           COM            337930101     230,192       9,965       X   X 28-5284       3900                6065

  FIRSTENERGY CORP               COM            337932107   1,398,622      41,900       X     28-5284      32343      1592      7965
                                                            1,055,476      31,620       X   X 28-5284       9088     12373     10159
                                                               10,014         300       X     28-4580        300

  FISHER SCIENTIFIC INTL INC     COM NEW        338032204     695,464      24,838       X     28-5284      24838
                                                               28,000       1,000       X   X 28-1500       1000

  FIVE STAR QUALITY CARE INC     COM            33832D106       1,152         206       X     28-5284        206
                                                                  117          21       X   X 28-5284         21

  FLEETBOSTON FINL CORP          COM            339030108  49,823,626   1,540,143       X     28-5284    1467041     14221     58881
                                                           26,243,096     811,224       X   X 28-5284     488540    279674     43010
                                                                6,114         189       X     28-1500                  189
                                                            1,188,636      36,743       X     28-4580      36323                 420
                                                              263,685       8,151       X   X 28-4580       6196      1955

  FLEETWOOD ENTERPRISES INC      COM            339099103       6,960         800       X     28-5284                            800
                                                                  348          40       X   X 28-5284         40

  FLEMING COS INC                COM            339130106      36,300       2,000       X   X 28-5284       2000

  FLORIDA EAST COAST INDS        CL A           340632108      45,540       1,800       X   X 28-5284       1200                 600

  FLORIDA EAST COAST INDS        CL B           340632207       7,140         300       X     28-5284        300

  FLORIDA PUB UTILS CO           COM            341135101   2,877,066     157,907       X     28-5284     157907

  FLORIDA ROCK INDS INC          COM            341140101     494,178      13,800       X   X 28-5284      13800

  FLUOR CORP NEW                 COM            343412102      45,766       1,175       X     28-5284       1175
                                                              257,654       6,615       X   X 28-5284       2342      4273
                                                                7,790         200       X   X 28-1500        200

  FLOW INTL CORP                 COM            343468104      13,815       2,050       X     28-5284       2050

  FLOWERS FOODS INC              COM            343498101      13,184         510       X     28-5284        510
                                                               19,388         750       X   X 28-5284        750
0                COLUMN TOTAL                              85,105,330
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE    74 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  FLOWSERVE CORP                 COM            34354P105      89,400       3,000       X   X 28-5284                           3000
                                                              128,140       4,300       X   X 28-1500       4300

  FOCAL COMMUNICATIONS CORP      COM NEW        344155205         165          71       X   X 28-5284                             71

  FOCUS ENHANCEMENTS INC         COM            344159108         966         700       X   X 28-5284        700

  FONAR CORP                     COM            344437108         236         120       X   X 28-1500        120

  FOOD TECHNOLOGY SERVICE INC    COM            344798103         246         300       X   X 28-5284                  300

  FOOT LOCKER INC                COM            344849104   3,683,305     254,900       X   X 28-5284        350    231050     23500

  FOOTSTAR INC                   COM            344912100      73,924       3,021       X     28-5284       3021
                                                               53,491       2,186       X   X 28-5284       1900       286

  FORD MTR CO DEL                COM PAR $0.01  345370860  10,399,008     649,938       X     28-5284     613264     11254     25420
                                                            9,424,096     589,006       X   X 28-5284     360623    189468     38915
                                                              223,744      13,984       X   X 28-1500      13984
                                                              328,368      20,523       X     28-4580      19824                 699
                                                              245,504      15,344       X   X 28-4580      10503      2884      1957

  FORD MTR CO CAP TR II          PFD TR CV6.5%  345395206      84,375       1,500       X     28-5284       1500
                                                            1,518,750      27,000       X   X 28-5284      22000      5000

  FORDING INC                    COM            345426100       1,901         100       X   X 28-5284        100

  FOREST CITY ENTERPRISES INC    CL A           345550107      17,375         500       X     28-5284        500

  FOREST LABS INC                COM            345838106   1,647,091      23,264       X     28-5284      22464       100       700
                                                              654,900       9,250       X   X 28-5284       8450       800
                                                               23,718         335       X   X 28-1500        335

  FOREST OIL CORP                COM PAR $0.01  346091705      42,645       1,500       X   X 28-5284                           1500

  FORTUNE BRANDS INC             COM            349631101  15,080,520     269,295       X     28-5284     194745      4600     69950
                                                           18,115,216     323,486       X   X 28-5284     112849     77537    133100
                                                              162,680       2,905       X     28-1500                 2905
                                                               78,512       1,402       X     28-4580       1402

  FOSSIL INC                     COM            349882100     208,170      10,125       X   X 28-5284      10125

  FOUNDRY NETWORKS INC           COM            35063R100      19,487       2,772       X     28-5284       2772
0                COLUMN TOTAL                              62,305,933
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE    75 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  FOX ENTMT GROUP INC            CL A           35138T107      50,025       2,300       X     28-5284       2300
                                                              146,813       6,750       X   X 28-5284       2000                4750

  FRANKLIN FINL CORP TENN        COM NEW        353523202       6,380         250       X   X 28-1500        250

  FRANKLIN MULTI-INCOME FD       SH BEN INT     354021107      22,380       3,000       X     28-5284       3000

  FRANKLIN RES INC               COM            354613101   1,637,589      38,405       X     28-5284      35855       700      1850
                                                              944,476      22,150       X   X 28-5284      14350      7800
                                                                2,772          65       X   X 28-1500         65

  FRANKLIN UNVL TR               SH BEN INT     355145103      34,823       5,545       X     28-5284       5545

  FREDS INC                      CL A           356108100      11,034         300       X   X 28-1500        300

  FREEMARKETS INC                COM            356602102      12,731         901       X     28-5284        901
                                                               76,302       5,400       X   X 28-5284       3300                2100

  FREEPORT-MCMORAN COPPER & GO   CL B           35671D857      15,851         888       X     28-5284        439                 449
                                                              147,941       8,288       X   X 28-5284       2000        10      6278
                                                               75,880       4,251       X   X 28-4580       4251

  FREMONT GEN CORP               COM            357288109     460,845     110,250       X   X 28-1500     110250

  FREQUENCY ELECTRS INC          COM            358010106      45,000       5,000       X   X 28-5284       5000

  FRESENIUS MED CARE AG          SPONSORED ADR  358029106      13,347         900       X     28-5284        900
                                                               34,791       2,346       X   X 28-5284        486      1860

  FRIEDMAN BILLINGS RAMSEY GRO   COM            358433100  30,884,075   2,426,086       X                2426086

  FRIENDLY ICE CREAM CORP NEW    COM            358497105       7,680       1,000       X   X 28-5284                           1000

  FRISBY TECHNOLOGIES INC        COM            358743102       3,750       5,000       X     28-5284       5000

  FRISCHS RESTAURANTS INC        COM            358748101       5,925         300       X     28-5284                            300
                                                               19,750       1,000       X   X 28-1500       1000

  FRONTIER OIL CORP              COM            35914P105      17,600       1,000       X     28-5284       1000
                                                               17,600       1,000       X   X 28-1500       1000

  FRONTLINE COMMUNICATIONS COR   *W EXP 99/99/9 35921T116         600      10,000       X   X 28-5284      10000

  FUELCELL ENERGY INC            COM            35952H106      27,783       2,700       X     28-5284       2700
                                                               12,729       1,237       X   X 28-5284       1237
0                COLUMN TOTAL                              34,736,472
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    76 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  FUJI PHOTO FILM LTD            ADR            359586302      12,600         400       X     28-5284        400
                                                                4,725         150       X   X 28-5284                            150

  FULLER H B CO                  COM            359694106      35,148       1,200       X     28-5284       1200

  FULTON FINL CORP PA            COM            360271100     335,118      17,703       X     28-5284      17703
                                                            1,764,674      93,221       X   X 28-5284      25270     67951

  FURNITURE BRANDS INTL INC      COM            360921100      69,061       2,283       X     28-5284       2283
                                                                9,408         311       X   X 28-5284        311

  G & K SVCS INC                 CL A           361268105      34,240       1,000       X     28-5284       1000

  GA FINL INC                    COM            361437106      16,776         900       X   X 28-5284                  900
                                                               18,640       1,000       X   X 28-1500       1000

  GATX CORP                      COM            361448103      21,070         700       X     28-5284        700
                                                               64,474       2,142       X   X 28-5284       2142

  GP STRATEGIES CORP             COM            36225V104       2,906         625       X     28-5284        625

  GSI COMMERCE INC               COM            36238G102      75,500      10,000       X     28-5284      10000

  GTC BIOTHERAPEUTICS INC        COM            36238T104       1,260       1,000       X     28-5284       1000
                                                                  252         200       X   X 28-5284        200

  GABELLI GLOBAL MULTIMEDIA TR   COM            36239Q109       7,966       1,138       X     28-5284       1138
                                                                5,278         754       X   X 28-5284        754

  GABELLI EQUITY TR INC          COM            362397101     292,716      29,184       X     28-5284      29184
                                                               42,206       4,208       X   X 28-5284       4208

  GABELLI UTIL TR                COM            36240A101      13,366       1,531       X     28-5284       1531
                                                                2,418         277       X   X 28-5284        277

  GABELLI UTIL TR                RIGHT 99/99/99 36240A119         269         612       X     28-5284        612
                                                                  123         279       X   X 28-5284        279

  GABLES RESIDENTIAL TR          SH BEN INT     362418105      15,965         500       X   X 28-5284                            500

  GAIAM INC                      CL A           36268Q103       5,856         400       X     28-5284        400
                                                            1,234,782      84,343       X   X 28-5284                          84343
0                COLUMN TOTAL                               4,086,797
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    77 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  GALLAHER GROUP PLC             SPONSORED ADR  363595109   2,668,247      71,439       X     28-5284      65686      2000      3753
                                                            7,537,230     201,800       X   X 28-5284     181096     20304       400
                                                               72,907       1,952       X     28-4580       1952

  GALYANS TRADING INC            COM            36458R101       4,566         200       X     28-5284        200

  GANNETT INC                    COM            364730101  57,942,136     763,401       X     28-5284     562392       990    200019
                                                           16,512,273     217,553       X   X 28-5284     101502     96467     19584
                                                              608,718       8,020       X     28-1500                 8020
                                                            1,706,763      22,487       X     28-4580      14487                8000
                                                              701,088       9,237       X   X 28-4580       9237

  GAP INC DEL                    COM            364760108   1,198,736      84,418       X     28-5284      82750       168      1500
                                                              421,030      29,650       X   X 28-5284       3200      2950     23500
                                                               14,555       1,025       X   X 28-1500       1025

  GARDNER DENVER INC             COM            365558105       3,120         156       X   X 28-5284        156

  GARTNER INC                    CL B           366651206     127,398      13,553       X     28-5284      13553
                                                               18,828       2,003       X   X 28-5284       1340       663
                                                                9,456       1,006       X   X 28-4580       1006

  GATEWAY INC                    COM            367626108       7,992       1,800       X     28-5284       1800
                                                               15,540       3,500       X   X 28-5284        500      3000

  GAYLORD ENTMT CO NEW           COM            367905106     220,500      10,000       X   X 28-5284                          10000
                                                               22,050       1,000       X   X 28-1500       1000

  GEMSTAR-TV GUIDE INTL INC      COM            36866W106      59,829      11,100       X   X 28-5284       3500                7600
                                                                2,695         500       X   X 28-1500        500

  GENAERA CORP                   COM            36867G100      26,700      15,000       X   X 28-5284                          15000

  GENCORP INC                    COM            368682100      42,900       3,000       X   X 28-5284                           3000

  GENENTECH INC                  COM            368710109           0           1       X     28-5284          1

  GENENTECH INC                  COM NEW        368710406     319,691       9,543       X     28-5284       9543
                                                              270,848       8,085       X   X 28-5284       2039      2046      4000
                                                               21,775         650       X   X 28-1500        650

  GENERAL AMERN INVS INC         COM            368802104     111,548       4,027       X     28-5284       4027
                                                              365,446      13,193       X   X 28-5284       6143                7050
0                COLUMN TOTAL                              91,034,565
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    78 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

  GENERAL CABLE CORP DEL NEW     COM            369300108         630         100       X   X 28-5284        100

                                                                                                 
  GENERAL DYNAMICS CORP          COM            369550108  19,460,242     182,983       X     28-5284     149763      1252     31968
                                                            5,959,535      56,037       X   X 28-5284      35806     12398      7833
                                                               12,762         120       X   X 28-1500        120
                                                               85,080         800       X     28-4580        800
                                                               77,104         725       X   X 28-4580        535       190

  GENERAL ELEC CO                COM            369604103 619,411,508  21,322,255       X     28-5284   18987793    515493   1818969
                                                          680,329,125  23,419,247       X   X 28-5284   12349331   6999880   4070036
                                                            7,190,282     247,514       X     28-1500               247514
                                                           36,375,335   1,252,163       X     28-4580    1186812               65351
                                                            9,791,361     337,052       X   X 28-4580     311734     22018      3300

  GENERAL GROWTH PPTYS INC       COM            370021107     107,100       2,100       X     28-5284       2100
                                                               51,000       1,000       X   X 28-5284                 1000
                                                               39,015         765       X   X 28-1500        765

  GENERAL MAGIC INC              COM            370253106          80       1,000       X   X 28-5284                           1000
                                                                   80       1,000       X   X 28-1500       1000

  GENERAL MLS INC                COM            370334104  15,678,639     355,686       X     28-5284     290782      2250     62654
                                                           18,676,916     423,705       X   X 28-5284     303944     85119     34642
                                                              123,424       2,800       X   X 28-1500       2800
                                                              445,208      10,100       X     28-4580      10100
                                                              127,832       2,900       X   X 28-4580       1900       600       400

  GENERAL MTRS CORP              COM            370442105  11,426,060     213,771       X     28-5284     197431      5041     11299
                                                           11,889,044     222,433       X   X 28-5284     106745     89548     26140
                                                               56,443       1,056       X     28-1500                 1056
                                                              573,679      10,733       X     28-4580      10533                 200
                                                              794,427      14,863       X   X 28-4580      13902       961

  GENERAL MTRS CORP              CL H NEW       370442832   1,547,874     148,834       X     28-5284      81352       424     67058
                                                              711,641      68,427       X   X 28-5284      41363     20080      6984
                                                                2,933         282       X   X 28-1500        282
                                                                  978          94       X     28-4580         94
                                                               15,257       1,467       X   X 28-4580        270      1197

  GENEREX BIOTECHNOLOGY CP DEL   COM            371485103      19,175       6,522       X     28-5284       6522

  GENESEE & WYO INC              CL A           371559105     154,649       6,855       X     28-5284       6855
                                                               50,760       2,250       X   X 28-5284                           2250
0                COLUMN TOTAL                           1,441,185,178
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    79 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  GENESIS MICROCHIP INC DEL      COM            37184C103      40,032       4,800       X     28-5284       4800

  GENESYS S A                    SP ADR REP 1/2 37185M100       2,025         750       X     28-5284        750

  GENTEX CORP                    COM            371901109      87,904       3,200       X   X 28-5284       1200      2000

  GENESIS ENERGY L P             UNIT LTD PARTN 371927104       1,905         500       X     28-5284        500

  GENOME THERAPEUTICS CORP       COM            372430108         693         300       X   X 28-5284        300

  GENTA INC                      COM NEW        37245M207      24,870       3,000       X     28-5284       3000
                                                               29,844       3,600       X   X 28-5284                           3600

  GENUINE PARTS CO               COM            372460105   2,371,997      68,024       X     28-5284      68024
                                                            3,692,105     105,882       X   X 28-5284      35965     67492      2425
                                                                1,220          35       X   X 28-1500         35
                                                              249,739       7,162       X     28-4580       7162

  GENTIVA HEALTH SERVICES INC    COM            37247A102       1,411         157       X   X 28-5284         12                 145

  GENUITY INC                    CL A NEW       37248E202         608         160       X     28-5284        160
                                                                  380         100       X   X 28-5284                  100

  GENZYME CORP                   COM GENL DIV   372917104     121,020       6,290       X     28-5284       6290
                                                              205,868      10,700       X   X 28-5284       4800       800      5100
                                                               14,815         770       X   X 28-1500        770

  GENZYME CORP                   COM-MOLECULAR  372917500       2,593       1,029       X     28-5284       1029

  GENZYME CORP                   COM BIOSURGERY 372917708      29,368       6,483       X     28-5284       6483
                                                                   23           5       X   X 28-5284          5

  GEORGIA GULF CORP              COM PAR $0.01  373200203       5,288         200       X     28-5284        200
                                                               26,440       1,000       X   X 28-5284                           1000

  GEORGIA PAC CORP               COM            373298108     871,558      35,458       X     28-5284      33858                1600
                                                            2,116,903      86,123       X   X 28-5284      59132     26803       188
                                                                9,930         404       X   X 28-1500        404

  GERBER SCIENTIFIC INC          COM            373730100      11,846       3,375       X   X 28-5284       3375

  GERMAN AMERN BANCORP           COM            373865104      80,161       4,333       X     28-5284       4333
0                COLUMN TOTAL                              10,000,546
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    80 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  GERON CORP                     COM            374163103       2,290         500       X     28-5284        500
                                                                1,832         400       X   X 28-5284        400

  GETTY IMAGES INC               COM            374276103      34,832       1,600       X     28-5284       1600

  GEVITY HR INC                  COM            374393106      19,800       5,000       X     28-5284                           5000

  GILEAD SCIENCES INC            COM            375558103      40,673       1,237       X   X 28-5284       1200                  37

  GILLETTE CO                    COM            375766102  43,179,373   1,274,856       X     28-5284     906412      5180    363264
                                                            9,966,688     294,263       X   X 28-5284     197249     47698     49316
                                                              523,630      15,460       X     28-1500                15460
                                                              302,120       8,920       X     28-4580       8920
                                                              169,689       5,010       X   X 28-4580       4300       710

  GLADSTONE CAPITAL CORP         COM            376535100       7,220         400       X   X 28-5284                  400

  GLAMIS GOLD LTD                COM            376775102      17,580       2,000       X     28-5284       2000

  GLATFELTER                     COM            377316104 176,068,655   9,365,354       X     28-5284    7941130   1424224
                                                          109,938,433   5,847,789       X   X 28-5284    1156501   4618088     73200

  GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105  23,505,994     544,877       X     28-5284     521695      2782     20400
                                                           39,785,304     922,237       X   X 28-5284     574002    256406     91829
                                                               67,126       1,556       X     28-1500                 1556
                                                               99,265       2,301       X     28-4580       2301
                                                              532,822      12,351       X   X 28-4580      12351

  GLENAYRE TECHNOLOGIES INC      COM            377899109       1,874       1,500       X     28-5284       1500
                                                                  375         300       X   X 28-5284        300

  GLENBOROUGH RLTY TR INC        COM            37803P105     237,000      10,000       X     28-5284      10000

  GLIMCHER RLTY TR               SH BEN INT     379302102      40,700       2,200       X     28-5284       1700                 500
                                                              193,788      10,475       X     28-1500                10475

  GLOBAL INDS LTD                COM            379336100       5,592         800       X   X 28-5284        800

  GLOBAL PARTNERS INCOME FD IN   COM            37935R102       6,594         600       X     28-5284        600
                                                               14,287       1,300       X   X 28-5284       1300

  GLOBAL PMTS INC                COM            37940X102      54,026       1,816       X     28-5284       1816
0                COLUMN TOTAL                             404,817,562
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    81 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  GLOBECOMM SYSTEMS INC          COM            37956X103      30,675       7,500       X   X 28-5284                 7500

  GLOBESPANVIRATA INC            COM            37957V106       3,947       1,020       X   X 28-5284                           1020

  GO2PHARMACY INC                COM            380193102          39          52       X     28-5284         52

  GOLD FIELDS LTD NEW            SPONSORED ADR  38059T106      28,936       2,579       X     28-5284       2579
                                                               22,047       1,965       X   X 28-5284       1965

  GOLDCORP INC NEW               COM            380956409      24,477       2,460       X     28-5284       1460       500       500
                                                              231,835      23,300       X   X 28-5284      22900                 400
                                                                9,950       1,000       X   X 28-1500       1000

  GOLDEN ENTERPRISES INC         COM            381010107       1,931         500       X     28-5284        500

  GOLDEN ST BANCORP INC          COM            381197102      85,151       2,349       X     28-5284       2349
                                                               92,800       2,560       X   X 28-5284       2560
                                                               15,588         430       X     28-4580        430

  GOLDEN ST BANCORP INC          *W EXP 99/99/9 381197136       1,559       1,430       X     28-5284       1430

  GOLDEN WEST FINL CORP DEL      COM            381317106     276,496       4,020       X     28-5284       3895                 125
                                                              357,656       5,200       X   X 28-5284       5200

  GOLDFIELD CORP                 COM            381370105          23          50       X     28-5284         50

  GOLDMAN SACHS GROUP INC        COM            38141G104   2,003,995      27,321       X     28-5284      22821                4500
                                                            1,208,441      16,475       X   X 28-5284       9325       550      6600
                                                              218,583       2,980       X   X 28-1500       2980

  GOODRICH CORP                  COM            382388106      68,573       2,510       X     28-5284       2510
                                                               36,663       1,342       X   X 28-5284       1340                   2
                                                              224,024       8,200       X   X 28-1500       8200

  GOODYEAR TIRE & RUBR CO        COM            382550101     182,235       9,740       X     28-5284       9740
                                                              285,889      15,280       X   X 28-5284       3710     11270       300
                                                                1,291          69       X   X 28-1500         69
                                                               51,789       2,768       X   X 28-4580                           2768

  GOODYS FAMILY CLOTHING INC     COM            382588101       4,612         400       X     28-5284        400
                                                               10,954         950       X   X 28-1500        950

  GORMAN RUPP CO                 COM            383082104      31,500       1,000       X     28-5284                           1000
0                COLUMN TOTAL                               5,511,659
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    82 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  GRACE W R & CO DEL NEW         COM            38388F108      30,123      10,041       X   X 28-5284       6696      3345

  GRACE W R & CO                 COM            383883105           0           1       X     28-5284          1

  GRACO INC                      COM            384109104      18,855         750       X     28-5284                            750
                                                               67,677       2,692       X   X 28-1500       2692

  GRAINGER W W INC               COM            384802104   1,975,042      39,422       X     28-5284      39422
                                                            1,654,803      33,030       X   X 28-5284       9470      9800     13760
                                                                2,004          40       X   X 28-1500         40
                                                              220,440       4,400       X   X 28-4580       4400

  GRANITE CONSTR INC             COM            387328107      65,780       2,600       X     28-5284       2600

  GRANITE ST BANKSHARES INC      COM            387472103       6,595         201       X     28-5284        201
                                                            2,277,014      69,400       X     28-1500      69400

  GRANT PRIDECO INC              COM            38821G101      21,760       1,600       X     28-5284       1600
                                                               14,171       1,042       X   X 28-5284        400       642
                                                                4,624         340       X   X 28-1500        340

  GREAT AMERN FINL RES INC       COM            389915109         579          30       X   X 28-5284         30

  GREAT LAKES CHEM CORP          COM            390568103     387,655      14,634       X     28-5284       8019                6615
                                                               98,013       3,700       X   X 28-5284                           3700

  GREAT NORTHN IRON ORE PPTYS    CTFS BEN INT   391064102       8,250         125       X     28-5284        125

  GREAT PLAINS ENERGY INC        COM            391164100     934,635      45,928       X     28-5284      43745                2183
                                                              384,615      18,900       X   X 28-5284      16800      2100
                                                               19,149         941       X   X 28-1500        941

  GREATER BAY BANCORP            COM            391648102      12,304         400       X     28-5284        400

  GREATER COMMUNITY BANCORP      COM            39167M108       1,424          89       X   X 28-5284         89

  GREATER DEL VY HLDGS           COM            391688108     328,064      12,790       X     28-5284      12790

  GREEN MTN COFFEE INC           COM            393122106       4,242         200       X   X 28-5284                            200

  GREEN MOUNTAIN PWR CORP        COM            393154109       6,138         338       X   X 28-5284        338
0                COLUMN TOTAL                               8,543,956
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    83 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  GREENPOINT FINL CORP           COM            395384100      68,740       1,400       X     28-5284       1400
                                                              225,860       4,600       X   X 28-5284       4600

  GREY GLOBAL GROUP INC          COM            39787M108     138,002         200       X   X 28-5284        200

  GREY WOLF INC                  COM            397888108     122,700      30,000       X     28-5284      30000

  GROUP 1 AUTOMOTIVE INC         COM            398905109     209,825       5,500       X   X 28-5284       5500

  GROUP 1 SOFTWARE INC NEW       COM            39943Y103      20,775       1,500       X     28-5284       1500

  GROUPE DANONE                  SPONSORED ADR  399449107     211,519       7,700       X     28-5284       6500                1200
                                                                2,335          85       X   X 28-1500         85

  GRUBB & ELLIS CO               COM PAR $0.01  400095204       3,780       1,518       X     28-5284       1518

  GRUPO TELEVISA SA DE CV        SP ADR REP ORD 40049J206     130,830       3,500       X   X 28-5284                           3500

  GRUPO TMM S A DE CV            SP ADR A SHS   40051D105      17,250       2,500       X   X 28-5284       2500

  GUCCI GROUP N V                COM NY REG     401566104      56,766         600       X     28-5284        600

  GUIDANT CORP                   COM            401698105  10,129,227     335,072       X     28-5284     324562       100     10410
                                                            1,224,406      40,503       X   X 28-5284      21187      7050     12266
                                                              212,124       7,017       X   X 28-1500       7017
                                                               36,609       1,211       X     28-4580       1211
                                                               33,253       1,100       X   X 28-4580       1100

  GULF INDONESIA RES LTD         COM            402284103      13,190       1,000       X     28-5284       1000

  GULF WEST BKS INC              COM            402582100   2,440,491     165,457       X     28-5284                         165457

  GYMBOREE CORP                  COM            403777105      74,012       4,620       X     28-5284       4620
                                                              102,528       6,400       X   X 28-5284                           6400

  H & Q HEALTHCARE FD            SH BEN INT     404052102      60,742       3,505       X     28-5284       3505

  H & Q LIFE SCIENCES INVS       SH BEN INT     404053100      56,662       3,897       X     28-5284       3897
                                                               46,833       3,221       X   X 28-5284       3221
0                COLUMN TOTAL                              15,638,459
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    84 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  HCA INC                        COM            404119109  14,412,973     303,431       X     28-5284     202840              100591
                                                              262,675       5,530       X   X 28-5284       4280       800       450
                                                              348,650       7,340       X   X 28-1500       7340
                                                               95,000       2,000       X     28-4580       2000

  HCC INS HLDGS INC              COM            404132102     146,163       5,547       X     28-5284       5547
                                                               11,858         450       X   X 28-5284                            450

  HNC SOFTWARE INC               COM            40425P107       6,680         400       X     28-5284        400
                                                              126,920       7,600       X   X 28-5284                           7600

  HRPT PPTYS TR                  COM SH BEN INT 40426W101      16,815       1,900       X     28-5284       1900
                                                                9,470       1,070       X   X 28-5284       1070

  H POWER CORP                   COM            40427A108      12,920      13,600       X   X 28-5284      13600

  HSBC HLDGS PLC                 SPON ADR NEW   404280406     219,821       3,777       X     28-5284       2777                1000
                                                               14,550         250       X   X 28-5284                  250
                                                                2,037          35       X   X 28-1500         35

  HABERSHAM BANCORP INC          COM            404459109   2,176,251     103,631       X     28-1500     103631

  HAEMONETICS CORP               COM            405024100      14,600         500       X   X 28-5284                            500

  HAIN CELESTIAL GROUP INC       COM            405217100      22,200       1,200       X   X 28-5284       1200

  HALLIBURTON CO                 COM            406216101   3,055,300     191,675       X     28-5284     188159      1075      2441
                                                            2,796,227     175,422       X   X 28-5284     105816     52799     16807
                                                               22,316       1,400       X     28-1500                 1400
                                                                9,564         600       X     28-4580        600

  JOHN HANCOCK BK &THRIFT OPP    SH BEN INT     409735107      27,232       3,200       X   X 28-5284       3200

  HANCOCK FABRICS INC            COM            409900107     189,609      10,205       X   X 28-1500      10205

  HANCOCK JOHN INCOME SECS TR    COM            410123103       4,470         300       X     28-5284        300

  HANCOCK JOHN PATRIOT GLOBL D   COM            41013G103      20,423       1,709       X   X 28-5284       1709

  HANCOCK JOHN PATRIOT PREM DI   COM            41013Q101     138,084      14,800       X     28-5284      14800

  HANCOCK JOHN PATRIOT PREM II   COM SH BEN INT 41013T105       5,250         500       X   X 28-5284        500
0                COLUMN TOTAL                              24,168,058
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    85 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  HANCOCK JOHN FINL SVCS INC     COM            41014S106     527,507      14,986       X     28-5284      12694                2292
                                                              134,605       3,824       X   X 28-5284        127       109      3588

  HANCOCK JOHN INVS TR           COM            410142103      11,634         600       X     28-5284        600
                                                               27,146       1,400       X   X 28-5284        400      1000

  HANDSPRING INC                 COM            410293104         348         200       X     28-5284        200

  HANOVER COMPRESSOR CO          COM            410768105      87,750       6,500       X     28-5284       6500

  HANSON PLC                     SPON ADR NEW   411352404       2,210          62       X     28-5284         62
                                                                8,200         230       X   X 28-5284         43                 187
                                                                1,426          40       X   X 28-1500         40

  HARBOR FLA BANCSHARES INC      COM            411901101       4,162         200       X     28-5284        200
                                                               14,567         700       X   X 28-5284                            700

  HARKEN ENERGY CORP             COM NEW        412552309         250         500       X   X 28-5284        500

  HARLAND JOHN H CO              COM            412693103       8,460         300       X     28-5284        300
                                                                5,076         180       X   X 28-5284        180

  HARLEY DAVIDSON INC            COM            412822108  41,251,329     804,590       X     28-5284     383187              421403
                                                            8,124,501     158,465       X   X 28-5284      28589      6630    123246
                                                              928,038      18,101       X     28-1500                18101
                                                                9,690         189       X   X 28-4580                            189

  HARLEYSVILLE GROUP INC         COM            412824104      51,947       1,874       X   X 28-5284                 1874

  HARLEYSVILLE NATL CORP PA      COM            412850109   1,586,081      58,722       X     28-5284      58722

  HARMAN INTL INDS INC           COM            413086109     310,275       6,300       X   X 28-5284                           6300

  HARMONIC INC                   COM            413160102         732         200       X     28-5284        200
                                                                1,647         450       X   X 28-1500        450

  HARMONY GOLD MNG LTD           SPONSORED ADR  413216300      97,416       7,200       X   X 28-5284       7200

  HARRAHS ENTMT INC              COM            413619107      38,585         870       X     28-5284        870
                                                              909,397      20,505       X   X 28-5284                          20505

  HARRIS CORP DEL                COM            413875105     183,954       5,076       X     28-5284       5076
                                                              119,592       3,300       X   X 28-5284       3300
0                COLUMN TOTAL                              54,446,525
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    86 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  HARRODSBURG 1ST FINL BANCORP   COM            415781103      41,610       3,584       X     28-5284       1000                2584
                                                               24,126       2,078       X     28-1500       2078

  HARSCO CORP                    COM            415864107   1,088,850      29,036       X     28-5284      29036
                                                              468,750      12,500       X   X 28-5284      12500

  HARTE-HANKS INC                COM            416196103     141,795       6,900       X     28-5284       6900

  HARTFORD FINL SVCS GROUP INC   COM            416515104   3,210,072      53,978       X     28-5284      53590                 388
                                                            1,115,003      18,749       X   X 28-5284      13851      3602      1296
                                                               29,735         500       X   X 28-1500        500
                                                                3,984          67       X     28-4580         67
                                                               33,838         569       X   X 28-4580                  569

  HASBRO INC                     COM            418056107      74,580       5,500       X     28-5284       4500                1000
                                                              258,318      19,050       X   X 28-5284                          19050
                                                                4,068         300       X   X 28-1500        300

  HAVAS                          SPONSORED ADR  419313101       1,705         280       X     28-5284        280

  HAWAIIAN ELEC INDUSTRIES       COM            419870100      50,635       1,190       X     28-5284       1190
                                                               36,168         850       X   X 28-5284        650       200

  HEALTH CARE PPTY INVS INC      COM            421915109     243,071       5,666       X     28-5284       5166       500
                                                            1,248,390      29,100       X   X 28-5284       1700     27400
                                                               39,683         925       X   X 28-1500        925

  HEALTHSOUTH CORP               COM            421924101     171,335      13,396       X     28-5284      13396
                                                                7,290         570       X   X 28-1500        570

  HEALTH MGMT ASSOC INC NEW      CL A           421933102     249,860      12,400       X     28-5284      12400
                                                               69,115       3,430       X   X 28-5284       2000                1430
                                                               12,090         600       X   X 28-1500        600

  HEALTHCARE RLTY TR             COM            421946104      83,200       2,600       X     28-5284       2600
                                                              952,320      29,760       X   X 28-5284      29760
                                                               87,232       2,726       X   X 28-1500       2726

  HEADWATERS INC                 COM            42210P102     157,500      10,000       X   X 28-5284      10000

  HEALTH CARE REIT INC           COM            42217K106      52,413       1,750       X     28-5284       1200                 550
                                                               38,935       1,300       X   X 28-1500       1300
0                COLUMN TOTAL                               9,995,671
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    87 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  HEALTH NET INC                 COM            42222G108      26,770       1,000       X     28-5284       1000
                                                              190,843       7,129       X   X 28-5284       7000                 129

  HEALTHTRONICS SURGICAL SVS I   COM            42222L107      43,725       2,500       X   X 28-5284       2500

  HEARTLAND EXPRESS INC          COM            422347104       2,728         114       X     28-5284        114

  HECLA MNG CO                   COM            422704106       9,380       2,000       X   X 28-5284       2000

  HECLA MNG CO                   PFD CV SER B   422704205      16,100         500       X     28-5284        500

  HEICO CORP NEW                 COM            422806109     113,450       8,092       X   X 28-5284                           8092

  HEICO CORP NEW                 CL A           422806208      85,557       7,639       X   X 28-5284                           7639

  HEINZ H J CO                   COM            423074103  40,466,238     984,580       X     28-5284     952229      2616     29735
                                                           45,088,262   1,097,038       X   X 28-5284     710562    316610     69866
                                                                3,206          78       X     28-1500                   78
                                                            2,392,965      58,223       X     28-4580      50723                7500
                                                            1,497,972      36,447       X   X 28-4580      36227       220

  HELMERICH & PAYNE INC          COM            423452101       7,144         200       X     28-5284        200
                                                               53,580       1,500       X   X 28-5284       1500

  HERITAGE PROPANE PARTNERS L    UNIT LTD PARTN 426918108      26,790       1,000       X     28-5284       1000

  HERCULES INC                   COM            427056106      38,930       3,356       X     28-5284       3356
                                                              454,801      39,207       X   X 28-5284       6695      4500     28012
                                                                6,960         600       X   X 28-1500        600
                                                               75,864       6,540       X     28-4580       6540
                                                              134,711      11,613       X   X 28-4580      11613

  HERSHEY FOODS CORP             COM            427866108   5,907,750      94,524       X     28-5284      55330       900     38294
                                                            6,290,000     100,640       X   X 28-5284      56425     22610     21605
                                                               15,750         252       X   X 28-1500        252
                                                               25,000         400       X   X 28-4580        400

  HEWLETT PACKARD CO             COM            428236103  24,830,260   1,625,017       X     28-5284    1456934     28625    139458
                                                           22,876,345   1,497,143       X   X 28-5284     944288    417207    135648
                                                               50,378       3,297       X     28-1500                 3297
                                                            1,581,740     103,517       X     28-4580      87517               16000
                                                            3,276,231     214,413       X   X 28-4580      34563       250    179600
0                COLUMN TOTAL                             155,589,430
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    88 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  HI / FN INC                    COM            428358105         655         100       X     28-5284        100

  HIBERNIA CORP                  CL A           428656102     217,690      11,000       X     28-5284       9000                2000
                                                               33,643       1,700       X   X 28-5284        800                 900

  HIBERNIA FOODS PLC             SPONSORED ADR  428660104      11,975       2,500       X   X 28-5284                           2500

  HIGH INCOME OPPORTUNITY FD I   COM            42967Q105      18,659       3,029       X     28-5284       3029

  HIGH SPEED ACCESS CORP         COM            42979U102       4,945       4,300       X     28-5284       1200                3100

  HIGHWOODS PPTYS INC            COM            431284108     208,364       8,014       X     28-5284       8014

  HILB ROGAL & HAMILTON CO       COM            431294107      63,350       1,400       X     28-5284       1400
                                                            3,652,580      80,720       X   X 28-5284                          80720

  HILLENBRAND INDS INC           COM            431573104   4,388,347      78,154       X     28-5284      27154               51000
                                                            1,047,085      18,648       X   X 28-5284        800               17848

  HILTON HOTELS CORP             NOTE  5.000% 5 432848AL3  33,118,750     350,000       X   X 28-5284               350000

  HILTON HOTELS CORP             COM            432848109     335,407      24,130       X     28-5284      24030       100
                                                              511,047      36,766       X   X 28-5284       1272       200     35294

  HINES HORTICULTURE INC         COM            433245107      96,600      28,000       X   X 28-5284                          28000

  HITACHI LIMITED                ADR 10 COM     433578507       9,626         150       X     28-5284        150
                                                               19,251         300       X   X 28-5284        300

  HOME FED BANCORP               COM            436926109      23,100       1,000       X     28-5284       1000

  HOME DEPOT INC                 COM            437076102 113,265,550   3,083,734       X     28-5284    2741090     30423    312221
                                                           53,408,762   1,454,091       X   X 28-5284     999424    275299    179368
                                                              580,958      15,817       X     28-1500                15817
                                                            3,487,844      94,959       X     28-4580      94275                 684
                                                              585,219      15,933       X   X 28-4580       9343      5234      1356

  HOME PPTYS N Y INC             COM            437306103      66,964       1,765       X     28-5284       1465                 300
                                                              616,525      16,250       X   X 28-5284      16250

  HOMESTORE INC                  COM            437852106         108          75       X     28-5284         75

  HON INDS INC                   COM            438092108       1,361          50       X   X 28-5284         50
0                COLUMN TOTAL                             215,774,365
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    89 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  HONDA MOTOR LTD                AMERN SHS      438128308      20,710       1,000       X     28-5284       1000
                                                               33,136       1,600       X   X 28-5284                 1600

  HONEYWELL INTL INC             COM            438516106  11,605,854     329,431       X     28-5284     272657      3600     53174
                                                            6,614,327     187,747       X   X 28-5284     108157     58215     21375
                                                              387,636      11,003       X   X 28-1500      11003
                                                              129,611       3,679       X     28-4580       3679
                                                              494,101      14,025       X   X 28-4580      14025

  HOOPER HOLMES INC              COM            439104100      14,400       1,800       X     28-5284       1800
                                                              254,800      31,850       X   X 28-5284                          31850

  HOPFED BANCORP INC             COM            439734104      23,769       1,900       X     28-5284       1900

  HORIZON ORGANIC HOLDING        COM            44043T103      17,620       1,000       X   X 28-5284       1000

  HORMEL FOODS CORP              COM            440452100       2,394         100       X     28-5284        100
                                                                9,576         400       X   X 28-5284        400
                                                               95,760       4,000       X   X 28-1500       4000

  HOSPITALITY PPTYS TR           COM SH BEN INT 44106M102      76,103       2,085       X     28-5284       2085

  HOST MARRIOTT CORP NEW         COM            44107P104      96,898       8,575       X     28-5284       8522        53
                                                              610,279      54,007       X   X 28-5284       3148               50859

  HOT TOPIC INC                  COM            441339108     253,745       9,500       X   X 28-5284       9500

  HOUSEHOLD INTL INC             COM            441815107   4,219,729      84,904       X     28-5284      81994      1000      1910
                                                            1,734,580      34,901       X   X 28-5284      27801      7100
                                                               99,400       2,000       X   X 28-1500       2000
                                                              381,000       7,666       X     28-4580       7666

  HUBBELL INC                    CL A           443510102     138,697       4,337       X     28-5284       4337
                                                                2,239          70       X   X 28-5284         70

  HUBBELL INC                    CL B           443510201     879,875      25,765       X     28-5284      10663               15102
                                                              756,764      22,160       X   X 28-5284       4226     13102      4832
                                                              160,505       4,700       X   X 28-1500       4700

  HUDSON CITY BANCORP            COM            443683107      15,920         800       X   X 28-5284        800

  HUDSON RIV BANCORP INC         COM            444128102     601,877      22,300       X   X 28-5284      22300
0                COLUMN TOTAL                              29,731,305
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    90 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  HUDSON UNITED BANCORP          COM            444165104     155,966       5,461       X     28-5284       5461
                                                              237,219       8,306       X   X 28-5284       8306

  HUFFY CORP                     COM            444356109       4,315         500       X     28-5284        500

  HUMANA INC                     COM            444859102     725,357      46,408       X     28-5284      43858                2550
                                                              132,542       8,480       X   X 28-5284        480                8000
                                                              196,031      12,542       X   X 28-1500      12542

  HUMAN GENOME SCIENCES INC      COM            444903108     101,840       7,600       X     28-5284       7600
                                                              109,880       8,200       X   X 28-5284       8200
                                                                2,680         200       X     28-1500                  200

  HUMPHREY HOSPITALITY TR        COM            445467103       2,390       1,000       X     28-5284       1000

  HUNT CORP                      COM            445591100       3,255         300       X   X 28-5284                  300

  HUNTINGTON BANCSHARES INC      COM            446150104   1,313,918      67,658       X     28-5284      67658
                                                              303,768      15,642       X   X 28-5284      13600                2042
                                                               25,460       1,311       X     28-4580       1311
                                                              355,988      18,331       X   X 28-4580      18331

  HUTCHINSON TECHNOLOGY INC      COM            448407106       7,820         500       X   X 28-5284                            500

  HUTTIG BLDG PRODS INC          COM            448451104       3,260         607       X     28-5284        607

  ICN PHARMACEUTICALS INC NEW    COM            448924100      48,420       2,000       X     28-5284       2000
                                                               36,315       1,500       X   X 28-5284                           1500

  ICT GROUP INC                  COM            44929Y101      27,255       1,500       X     28-5284       1500

  ICOS CORP                      COM            449295104       5,088         300       X     28-5284        300
                                                               52,576       3,100       X   X 28-5284        100                3000

  ID BIOMEDICAL CORP             COM            44936D108     106,735      25,800       X     28-5284      25800

  IDEC PHARMACEUTICALS CORP      COM            449370105      58,493       1,650       X     28-5284       1400       250
                                                              145,132       4,094       X   X 28-5284        450                3644
                                                                4,786         135       X   X 28-1500        135

  I D SYSTEMS INC                COM            449489103      20,345       5,230       X   X 28-5284       5230

  IEC ELECTRS CORP NEW           COM            44949L105         260       2,000       X   X 28-5284       2000
0                COLUMN TOTAL                               4,187,094
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    91 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  IDX SYS CORP                   COM            449491109      78,120       6,000       X   X 28-5284       6000

  IFC CAP TR III                 PFD CV TR SECS 449498203      59,980       2,000       X   X 28-5284       2000

  IFC CAP TR II                  PFD CV TR SECS 44950L200      74,760       2,800       X     28-5284       2800

  IMC GLOBAL INC                 COM            449669100      83,313       6,665       X     28-5284       6575                  90
                                                              140,650      11,252       X   X 28-5284                          11252
                                                               11,350         908       X   X 28-4580        908

  ING PRIME RATE TR              SH BEN INT     44977W106      16,097       2,555       X     28-5284       2555
                                                               20,992       3,332       X   X 28-5284       3332
                                                                6,300       1,000       X     28-4580                           1000

  IMS HEALTH INC                 COM            449934108   2,815,314     156,842       X     28-5284     143390               13452
                                                            1,097,266      61,129       X   X 28-5284      45081     14180      1868
                                                               43,080       2,400       X     28-4580       2400
                                                              154,980       8,634       X   X 28-4580       8634

  IRT PPTY CO                    COM            450058102     646,568      50,751       X   X 28-5284      50751

  ISTAR FINL INC                 COM            45031U101     800,850      28,100       X   X 28-5284      23900      1800      2400

  ITT EDUCATIONAL SERVICES INC   COM            45068B109     307,969      14,127       X   X 28-5284       7800                6327

  IXIA                           COM            45071R109       8,148       1,400       X     28-5284       1400

  IBASIS INC                     COM            450732102          37         100       X     28-5284        100
                                                                  407       1,100       X   X 28-5284       1100

  IBERIABANK CORP                COM            450828108      40,540       1,000       X     28-5284       1000

  ITT INDS INC IND               COM            450911102   3,421,417      48,462       X     28-5284      44752       220      3490
                                                            1,260,563      17,855       X   X 28-5284      12570      4981       304
                                                                7,060         100       X   X 28-1500        100
                                                              130,328       1,846       X     28-4580       1846
                                                               40,171         569       X   X 28-4580                  569

  ICICI BK LTD                   ADR            45104G104       3,500         500       X   X 28-5284                  500

  IDACORP INC                    COM            451107106      28,393       1,025       X     28-5284       1025
                                                               26,786         967       X   X 28-5284        967
                                                               83,100       3,000       X     28-4580       3000
0                COLUMN TOTAL                              11,408,039
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    92 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  IDINE REWARDS NETWORK INC      COM            45168A100      23,000       2,000       X     28-5284       2000

  IGATE CORP                     COM            45169U105   2,409,792     521,600       X     28-5284     521300                 300
                                                              289,073      62,570       X   X 28-5284      56070                6500

  IKON OFFICE SOLUTIONS INC      COM            451713101      15,040       1,600       X     28-5284                  600      1000
                                                              277,300      29,500       X   X 28-5284      24200                5300

  IDENTIX INC                    COM            451906101      14,598       2,000       X     28-5284       1500                 500
                                                               68,647       9,405       X   X 28-5284       9405
                                                                2,920         400       X   X 28-1500        400

  ILEX ONCOLOGY INC              COM            451923106       2,959         210       X     28-5284        210

  ILLINOIS TOOL WKS INC          COM            452308109  36,233,560     530,506       X     28-5284     516811      4200      9495
                                                           17,175,401     251,470       X   X 28-5284     138615     92405     20450
                                                              136,942       2,005       X     28-1500                 2005
                                                            1,646,918      24,113       X     28-4580      23896                 217
                                                              970,338      14,207       X   X 28-4580      12057      2150

  IMATION CORP                   COM            45245A107      60,056       2,018       X     28-5284       1947                  71
                                                               91,512       3,075       X   X 28-5284       2451       609        15
                                                               20,326         683       X   X 28-4580        683

  IMAX CORP                      COM            45245E109      28,305       5,000       X     28-5284       5000

  IMCLONE SYS INC                COM            45245W109      54,996       6,325       X     28-5284       6325

  IMAGISTICS INTERNATIONAL INC   COM            45247T104     446,812      20,811       X     28-5284      20003                 808
                                                            1,640,179      76,394       X   X 28-5284      70826      3661      1907
                                                                1,718          80       X   X 28-1500         80
                                                               21,814       1,016       X     28-4580       1016
                                                               15,201         708       X   X 28-4580        572         8       128

  IMMUNEX CORP NEW               COM            452528102     742,135      33,220       X     28-5284      25220                8000
                                                              372,430      16,671       X   X 28-5284      16500       100        71

  IMMUNOGEN INC                  COM            45253H101      16,140       6,000       X     28-5284       6000
                                                                5,380       2,000       X   X 28-5284       2000

  IMPERIAL CHEM INDS PLC         ADR NEW        452704505       3,080         160       X     28-5284        160
                                                               20,809       1,081       X   X 28-4580       1081
0                COLUMN TOTAL                              62,807,381
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    93 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  IMMUNOMEDICS INC               COM            452907108      80,755      15,500       X     28-5284      13000                2500
                                                                1,563         300       X   X 28-5284        300

  IMPERIAL OIL LTD               COM NEW        453038408      14,036         450       X     28-5284        450
                                                              113,220       3,630       X   X 28-5284        300                3330

  IMPERIAL TOBACCO GROUP PLC     SPONSORED ADR  453142101      15,043         463       X   X 28-5284         88                 375

  INCO LTD                       COM            453258402       2,264         100       X     28-5284        100
                                                                6,792         300       X   X 28-5284        300

  INCYTE GENOMICS INC            COM            45337C102      37,804       5,200       X     28-5284       5200

  INDEPENDENT BANK CORP MASS     COM            453836108      11,445         500       X     28-5284        500
                                                               36,624       1,600       X   X 28-5284       1000                 600

  INDEVUS PHARMACEUTICALS INC    COM            454072109       5,278       4,550       X     28-5284       4550

  INDYMAC BANCORP INC            COM            456607100      11,340         500       X     28-5284                  500
                                                              269,892      11,900       X   X 28-5284      11900

  INFORMATICA CORP               COM            45666Q102      43,249       6,100       X     28-5284       6100

  INFONOW CORP                   COM NEW        456664309       1,188       1,080       X     28-5284       1080

  INFORTE CORP                   COM            45677R107         992         100       X     28-5284        100

  INFOSPACE INC                  COM            45678T102           8          20       X     28-5284         20
                                                                2,132       5,200       X   X 28-5284        200      5000
                                                                  103         250       X   X 28-1500        250

  INFOSYS TECHNOLOGIES LTD       SPONSORED ADR  456788108       5,120         100       X     28-5284        100
                                                              199,680       3,900       X   X 28-5284       3900

  ING GROUP N V                  SPONSORED ADR  456837103      12,715         500       X     28-5284        500
                                                                3,815         150       X   X 28-5284                            150
                                                               12,206         480       X   X 28-1500        480

  INFORMATION RES INC            COM            456905108      59,442       6,331       X   X 28-5284         31                6300

  INGRAM MICRO INC               CL A           457153104      13,750       1,000       X   X 28-1500       1000

  INHALE THERAPEUTIC SYS INC     COM            457191104       4,745         500       X   X 28-1500        500
0                COLUMN TOTAL                                 965,201
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    94 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  INKINE PHARMACEUTICALS INC     COM            457214104         850       1,000       X     28-5284       1000
                                                                2,720       3,200       X   X 28-5284        200                3000

  INKTOMI CORP                   COM            457277101         176         200       X     28-5284        100                 100
                                                                4,399       4,999       X   X 28-5284       4999

  INNKEEPERS USA TR              COM            4576J0104       1,150         120       X   X 28-1500        120

  INSIGHT ENTERPRISES INC        COM            45765U103      95,722       3,800       X     28-5284       3800

  INPUT/OUTPUT INC               COM            457652105       7,200         800       X   X 28-5284        800

  INSITE VISION INC              COM            457660108      14,500      10,000       X     28-5284      10000

  INSMED INC                     COM NEW        457669208       4,701       3,358       X   X 28-5284                 3358

  INSIGHT COMMUNICATIONS INC     CL A           45768V108     199,410      17,000       X   X 28-5284                          17000

  INNOVATIVE SOLUTIONS & SUPPO   COM            45769N105       2,250         300       X     28-5284        300
                                                               22,943       3,059       X   X 28-5284       3059

  INTEGRA LIFESCIENCES HLDGS C   COM NEW        457985208       6,525         300       X     28-5284        300
                                                               16,313         750       X   X 28-5284                            750

  INSURED MUN INCOME FD          COM            45809F104       6,807         478       X     28-5284        478
                                                              135,280       9,500       X   X 28-5284       8000      1500

  INTEGRATED CIRCUIT SYS INC     COM            45811K208       8,076         400       X     28-5284        400
                                                            4,845,499     239,995       X   X 28-5284                         239995

  INTEGRA INC                    COM            45811M105         733      12,221       X     28-5284      12221

  INTEGRA BK CORP                COM            45814P105      33,690       1,504       X     28-5284       1504

  INTELIDATA TECHNOLOGIES CORP   COM            45814T107      43,890      33,000       X     28-5284      33000

  INTEL CORP                     COM            458140100 156,486,314   8,565,206       X     28-5284    7810066     93987    661153
                                                          131,725,549   7,209,937       X   X 28-5284    4959709   1618276    631952
                                                            1,209,620      66,208       X     28-1500                66208
                                                            4,432,978     242,637       X     28-4580     240562                2075
                                                            2,392,182     130,935       X   X 28-4580     119825      8450      2660

  INTEGRITY MEDIA INC            CL A           45817Y103       5,400         800       X   X 28-5284                  800
0                COLUMN TOTAL                             301,704,877
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE    95 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  INTER TEL INC                  COM            458372109     134,091       7,837       X     28-5284       7837

  INTERACTIVE DATA CORP          COM            45840J107       2,912         200       X     28-5284        200
                                                                7,280         500       X   X 28-5284                  500

  INTERDIGITAL COMMUNICATIONS    COM            45866A105       8,688         960       X     28-5284        960
                                                               19,910       2,200       X     28-1500                 2200
                                                                3,394         375       X     28-4580        375

  INTERLEUKIN GENETICS INC       COM            458738101         158         200       X   X 28-1500        200

  INTERLINQ SOFTWARE CORP        COM            458753100         290         200       X   X 28-5284        200

  INTERLOTT TECHNOLOGIES INC     COM            458764107       5,900       1,000       X     28-5284       1000
                                                                5,900       1,000       X   X 28-5284       1000

  INTERMUNE INC                  COM            45884X103      63,300       3,000       X     28-5284       3000

  INTERNATIONAL BUSINESS MACHS   COM            459200101 165,520,008   2,298,889       X     28-5284    1893183     23008    382698
                                                          200,286,288   2,781,754       X   X 28-5284    1104041    600352   1077361
                                                            1,734,480      24,090       X     28-1500                24090
                                                            4,498,704      62,482       X     28-4580      62161                 321
                                                            7,509,960     104,305       X   X 28-4580     102165      2140

  INTERNATIONAL FLAVORS&FRAGRA   COM            459506101     227,982       7,017       X     28-5284       6042                 975
                                                              190,196       5,854       X   X 28-5284       1000      4854
                                                                9,747         300       X   X 28-1500        300

  INTERNATIONAL GAME TECHNOLOG   COM            459902102      51,030         900       X     28-5284        900
                                                               45,360         800       X   X 28-5284                            800
                                                               45,360         800       X     28-4580        800

  INTERNATIONAL MULTIFOODS COR   COM            460043102       2,600         100       X     28-5284        100

  INTL PAPER CO                  COM            460146103  13,267,321     304,436       X     28-5284     272376       125     31935
                                                            4,146,986      95,158       X   X 28-5284      52094     21653     21411
                                                              592,078      13,586       X   X 28-1500      13586
                                                              141,940       3,257       X     28-4580       3257
                                                              175,758       4,033       X   X 28-4580       4033

  INTERNATIONAL RECTIFIER CORP   COM            460254105     253,314       8,690       X     28-5284       8090                 600
                                                               26,235         900       X   X 28-5284                            900
0                COLUMN TOTAL                             398,977,170
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    96 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  INTERNATIONAL SPEEDWAY CORP    CL A           460335201      40,100       1,000       X     28-5284        500                 500
                                                              155,588       3,880       X   X 28-5284                           3880

  INTL SPECIALTY PRODS INC NEW   COM            460337108      15,400       2,000       X   X 28-5284       2000

  INTERNET CAP GROUP INC         COM            46059C106       9,421      34,892       X     28-5284      34892
                                                                  602       2,230       X   X 28-5284       2200                  30
                                                                   27         100       X   X 28-1500        100
                                                               13,861      51,336       X                  51336

  INTERNET HOLDRS TR             DEPOSIT RCPT   46059W102      53,284       2,200       X     28-5284       2200
                                                               21,798         900       X   X 28-5284                            900

  INTERNET SEC SYS INC           COM            46060X107       1,312         100       X     28-1500                  100

  INTERPORE INTL                 COM            46062W107      29,010       3,000       X   X 28-5284                 3000

  INTERSIL CORP                  CL A           46069S109     102,068       4,774       X     28-5284       4774
                                                              387,192      18,110       X   X 28-5284                          18110
                                                                1,390          65       X   X 28-1500         65

  INTERPUBLIC GROUP COS INC      COM            460690100  13,604,753     549,465       X     28-5284     359115       750    189600
                                                           19,257,239     777,756       X   X 28-5284     673032     14550     90174
                                                               30,059       1,214       X   X 28-1500       1214
                                                              111,420       4,500       X     28-4580       4500

  INTERSTATE BAKERIES CORP DEL   COM            46072H108      25,992         900       X     28-5284        900
                                                               17,328         600       X   X 28-5284                            600

  INTERSTATE HOTELS CORP         COM            46088R108     548,002     150,550       X     28-5284     150550

  INTERVEST BANCSHARES CORP      CL A           460927106     970,100      89,000       X     28-1500      89000

  INTERSTATE NATL DEALER SVCS    COM            46102P104      19,600       3,500       X   X 28-5284       3500

  INTERTAN INC                   COM            461120107      83,625       7,500       X     28-5284       7500

  INTERTRUST TECHNOLOGIES CORP   COM            46113Q109     227,059      75,435       X     28-5284      61383               14052
                                                              196,050      65,133       X   X 28-5284        500      3250     61383

  INTERWOVEN INC                 COM            46114T102       3,050       1,000       X   X 28-1500       1000

  INTRABIOTICS PHARMACEUTICALS   COM            46116T100      28,600      22,000       X   X 28-5284       2000               20000
0                COLUMN TOTAL                              35,953,930
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    97 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  INTRAWARE INC                  COM            46118M103       6,928       6,928       X                   6928

  INTUITIVE SURGICAL INC         COM            46120E107      21,175       2,500       X     28-5284       2500
                                                                4,235         500       X   X 28-1500        500

  INTUIT                         COM            461202103     172,280       3,465       X     28-5284       3465
                                                            1,122,926      22,585       X   X 28-5284       4350               18235
                                                              129,272       2,600       X   X 28-1500       2600

  INVESTMENT GRADE MUN INCOME    COM            461368102      18,186       1,151       X     28-5284       1151
                                                                5,261         333       X   X 28-1500        333

  INVESTMENT TECHNOLOGY GRP NE   COM            46145F105     608,220      18,600       X     28-5284       3600               15000

  INVITROGEN CORP                COM            46185R100      38,412       1,200       X   X 28-5284                           1200
                                                                6,402         200       X   X 28-1500        200

  INVISION TECHNOLOGIES INC      COM            461851107      36,240       1,500       X   X 28-1500       1500

  INVESTORS FINL SERVICES CORP   COM            461915100      73,788       2,200       X   X 28-5284       2200

  IRELAND BK                     SPONSORED ADR  46267Q103       9,934         200       X   X 28-1500        200

  IRON MTN INC PA                COM            462846106     337,808      10,950       X     28-5284      10950

  IRWIN FINL CORP                COM            464119106     144,720       7,200       X     28-5284       7200
                                                              214,769      10,685       X   X 28-5284                          10685

  ISHARES INC                    MSCI EMU INDEX 464286608      10,528         200       X     28-5284                            200
                                                               22,161         421       X     28-4580        421

  ISHARES INC                    MSCI SINGAPORE 464286673      21,080       4,000       X     28-5284       4000
                                                                7,905       1,500       X   X 28-1500       1500

  ISHARES INC                    MSCI UTD KINGD 464286699      13,900       1,000       X   X 28-5284       1000

  ISHARES INC                    MSCI FRANCE    464286707      18,300       1,000       X   X 28-5284       1000

  ISHARES INC                    MSCI SWITZERLD 464286749      13,550       1,000       X   X 28-5284       1000

  ISHARES INC                    MSCI SPAIN     464286764      19,470       1,000       X   X 28-5284       1000

  ISHARES INC                    MSCI GERMAN    464286806      14,540       1,000       X   X 28-5284       1000

  ISHARES INC                    MSCI NETHERLND 464286814      17,400       1,000       X   X 28-5284       1000
0                COLUMN TOTAL                               3,109,390
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE    98 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  ISHARES INC                    MSCI MALAYSIA  464286830       8,008       1,400       X   X 28-1500       1400

  ISHARES INC                    MSCI JAPAN     464286848     438,065      51,965       X     28-5284      51965
                                                              160,482      19,037       X   X 28-5284       6000               13037

  ISHARES INC                    MSCI ITALY     464286855      16,470       1,000       X   X 28-5284       1000

  ISHARES INC                    MSCI HONG KONG 464286871      14,313       1,610       X     28-5284       1610
                                                               11,673       1,313       X   X 28-5284                           1313

  ISHARES TR                     S&P 100 IDX FD 464287101     580,016      11,825       X   X 28-5284                          11825

  ISHARES TR                     S&P 500 INDEX  464287200  13,513,854     136,476       X     28-5284     128476                8000
                                                            4,430,056      44,739       X   X 28-5284      41339                3400
                                                            5,883,867      59,421       X   X 28-1500      59421
                                                            1,548,475      15,638       X     28-4580      15638
                                                            1,287,260      13,000       X   X 28-4580      13000

  ISHARES TR                     S&P500/BAR GRW 464287309     736,263      14,856       X     28-5284      14856
                                                               52,335       1,056       X   X 28-5284        100                 956
                                                                8,673         175       X   X 28-1500        175
                                                              206,913       4,175       X     28-4580       4175

  ISHARES TR                     S&P500/BAR VAL 464287408     658,837      13,283       X     28-5284      13283
                                                               98,456       1,985       X   X 28-5284       1000                 985
                                                              155,645       3,138       X     28-4580       3138

  ISHARES TR                     MSCI EAFE IDX  464287465   1,698,229      14,325       X     28-5284      14184                 141
                                                              695,296       5,865       X   X 28-5284       1390      1625      2850
                                                               64,017         540       X     28-4580        540

  ISHARES TR                     RUSSELL MCP VL 464287473     342,734       4,345       X     28-4580       4345
                                                              202,169       2,563       X   X 28-4580       2563

  ISHARES TR                     RUSSELL MCP GR 464287481      28,600         500       X   X 28-5284                            500
                                                              320,320       5,600       X   X 28-4580       5600

  ISHARES TR                     RUSSELL MIDCAP 464287499      27,370         500       X   X 28-5284                            500

  ISHARES TR                     S&P MIDCAP 400 464287507   5,939,290      60,760       X     28-5284      50309       150     10301
                                                            1,738,386      17,784       X   X 28-5284       1388      9343      7053
                                                              215,050       2,200       X     28-4580       2200
0                COLUMN TOTAL                              41,081,122
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE    99 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  ISHARES TR                     NASDQ BIO INDX 464287556       5,100         100       X     28-5284        100
                                                               10,200         200       X   X 28-5284        200

  ISHARES TR                     COHEN&ST RLTY  464287564     513,038       5,585       X     28-5284       5585
                                                              143,761       1,565       X   X 28-5284                  400      1165

  ISHARES TR                     DJ US CON CYCL 464287580       6,716         135       X   X 28-1500        135

  ISHARES TR                     RUSSELL1000VAL 464287598   4,759,753      91,183       X     28-5284      88898                2285
                                                              780,338      14,949       X   X 28-5284       6648      7785       516
                                                              131,179       2,513       X     28-4580       2513
                                                              104,296       1,998       X   X 28-4580       1998

  ISHARES TR                     S&P MIDCP GROW 464287606   2,091,858      20,577       X     28-5284      19727       850
                                                              810,535       7,973       X   X 28-5284       5535      1326      1112
                                                               10,166         100       X   X 28-1500        100

  ISHARES TR                     RUSSELL1000GRW 464287614   1,059,793      26,363       X     28-5284      26363
                                                              441,557      10,984       X   X 28-5284       2484      8500
                                                               64,561       1,606       X     28-4580       1606
                                                               30,150         750       X   X 28-4580        750

  ISHARES TR                     RUSSELL 1000   464287622   7,274,612     139,494       X     28-5284     139494
                                                            5,373,745     103,044       X   X 28-5284                  400    102644

  ISHARES TR                     RUSL 2000 VALU 464287630     396,692       2,919       X     28-5284       2919
                                                              788,220       5,800       X   X 28-5284        110      1075      4615
                                                              233,748       1,720       X     28-4580       1720

  ISHARES TR                     RUSL 2000 GROW 464287648   1,116,896      23,415       X     28-5284      22354       300       761
                                                            2,647,875      55,511       X   X 28-5284      43976     10355      1180
                                                              162,657       3,410       X     28-4580       3410
                                                              958,770      20,100       X   X 28-4580      15000                5100

  ISHARES TR                     RUSSELL 2000   464287655   6,815,611      75,186       X     28-5284      72358       300      2528
                                                            1,912,352      21,096       X   X 28-5284       6236      1037     13823
                                                              224,177       2,473       X     28-4580       2473
                                                              239,407       2,641       X   X 28-4580       2641

  ISHARES TR                     RUSL 3000 VALU 464287663      51,802         760       X   X 28-5284                            760
                                                               81,792       1,200       X     28-4580       1200
0                COLUMN TOTAL                              39,241,357
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   100 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  ISHARES TR                     RUSSELL 3000   464287689      89,074       1,616       X     28-5284       1616
                                                              538,908       9,777       X   X 28-5284       3325      1652      4800
                                                               26,733         485       X     28-4580        485

  ISHARES TR                     DJ US UTILS    464287697     122,280       2,075       X   X 28-1500       2075
                                                              127,053       2,156       X     28-4580       2156

  ISHARES TR                     S&P MIDCP VALU 464287705   1,281,396      13,832       X     28-5284      13832
                                                              473,390       5,110       X   X 28-5284       2500       251      2359
                                                              143,499       1,549       X     28-4580       1549
                                                            2,056,608      22,200       X   X 28-4580       5700     16500

  ISHARES TR                     DJ US TELECOMM 464287713     116,108       6,209       X     28-5284       6209
                                                              127,796       6,834       X   X 28-5284                           6834
                                                                8,602         460       X   X 28-1500        460

  ISHARES TR                     DJ US TECH SEC 464287721     207,864       5,766       X     28-5284       5766
                                                              725,939      20,137       X   X 28-5284                          20137
                                                                8,472         235       X   X 28-1500        235

  ISHARES TR                     DJ US REAL EST 464287739      25,288         290       X     28-5284        290
                                                               26,160         300       X     28-4580        300

  ISHARES TR                     DJ US INTERNET 464287747         678          83       X     28-5284         83

  ISHARES TR                     DJ US INDUSTRL 464287754       6,888         160       X   X 28-1500        160

  ISHARES TR                     DJ US HEALTHCR 464287762     359,550       7,050       X     28-5284       7050
                                                               19,125         375       X   X 28-5284                  375
                                                                6,120         120       X   X 28-1500        120

  ISHARES TR                     DJ US FINL SEC 464287788      15,450         200       X     28-5284        200
                                                                8,498         110       X   X 28-1500        110

  ISHARES TR                     DJ US ENERGY   464287796      14,979         325       X   X 28-5284                            325
                                                                4,148          90       X   X 28-1500         90

  ISHARES TR                     S&P SMLCAP 600 464287804   3,529,692      30,827       X     28-5284      27833        82      2912
                                                            7,475,476      65,288       X   X 28-5284      57574      6265      1449
                                                              208,161       1,818       X     28-4580       1818
                                                               11,450         100       X   X 28-4580                  100

  ISHARES TR                     DJ CON NON CYC 464287812       3,640          80       X   X 28-1500         80
0                COLUMN TOTAL                              17,769,025
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   101 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  ISHARES TR                     DJ US BAS MATL 464287838       1,641          40       X   X 28-1500         40

  ISHARES TR                     DJ US TOTL MKT 464287846     128,660       2,800       X   X 28-5284                           2800

  ISHARES TR                     S&P EURO PLUS  464287861     865,580      15,320       X     28-5284      15320
                                                                2,825          50       X   X 28-5284                             50
                                                              420,643       7,445       X     28-4580       7445
                                                              261,482       4,628       X   X 28-4580       4628

  ISHARES TR                     S&P SMLCP VALU 464287879     473,624       5,266       X     28-5284       5266
                                                               36,696         408       X   X 28-5284                  208       200
                                                              378,108       4,204       X     28-4580       4204
                                                            1,984,706      22,067       X   X 28-4580       5567     16500

  ISHARES TR                     S&P SMLCP GROW 464287887     724,638       9,995       X     28-5284       9995
                                                              145,000       2,000       X   X 28-5284       1389       191       420

  ISIS PHARMACEUTICALS INC       COM            464330109      57,060       6,000       X     28-5284       6000
                                                               37,089       3,900       X   X 28-5284       2900                1000

  ISLE OF CAPRI CASINOS INC      COM            464592104      40,500       2,000       X   X 28-5284       2000

  I2 TECHNOLOGIES INC            COM            465754109       1,332         900       X     28-5284        900
                                                                  296         200       X   X 28-5284        200
                                                                1,036         700       X   X 28-1500        700

  IVAX CORP                      COM            465823102     219,553      20,329       X     28-5284      20329
                                                               10,800       1,000       X   X 28-5284       1000

  IXYS CORP                      COM            46600W106       1,189         221       X   X 28-1500        221

  JDS UNIPHASE CORP              COM            46612J101     319,890     119,809       X     28-5284     112909       170      6730
                                                              169,596      63,519       X   X 28-5284      42629     15690      5200
                                                               33,554      12,567       X   X 28-1500      12567
                                                                1,148         430       X     28-4580        430
                                                               40,229      15,067       X                  15067

  JDA SOFTWARE GROUP INC         COM            46612K108     226,080       8,000       X     28-5284       8000

  J JILL GROUP INC               COM            466189107      11,385         300       X     28-5284        300

  JLG INDS INC                   COM            466210101      28,060       2,000       X   X 28-5284                           2000
                                                              238,510      17,000       X   X 28-1500      17000
0                COLUMN TOTAL                               6,860,910
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   102 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  J P MORGAN CHASE & CO          COM            46625H100  36,932,673   1,088,817       X     28-5284    1033888     32729     22200
                                                           40,098,935   1,182,162       X   X 28-5284     600304    497562     84296
                                                              331,602       9,776       X     28-1500                 9776
                                                              838,774      24,728       X     28-4580      24728
                                                              799,155      23,560       X   X 28-4580      23230       330

  J2 GLOBAL COMMUNICATIONS INC   COM NEW        46626E205         279          17       X     28-5284         17

  JABIL CIRCUIT INC              COM            466313103     116,316       5,510       X     28-5284       5510
                                                              186,824       8,850       X   X 28-5284                           8850

  JACO ELECTRS INC               COM            469783104       5,170       1,100       X     28-5284       1100

  JACOBS ENGR GROUP INC DEL      COM            469814107     257,372       7,400       X   X 28-5284       6200      1200

  JAPAN EQUITY FD INC            COM            471057109      58,960      11,000       X   X 28-5284      11000

  JAPAN SMALLER CAPTLZTN FD IN   COM            47109U104      17,586       2,201       X     28-5284       2201

  JARDINE FLEMING CHINA REGION   COM            471110106       1,346         195       X     28-5284        195

  JEFFERSON PILOT CORP           COM            475070108   5,909,216     125,728       X     28-5284     124401                1327
                                                            1,004,578      21,374       X   X 28-5284      16174      5200
                                                              129,250       2,750       X   X 28-1500       2750
                                                              317,250       6,750       X     28-4580       6750

  JETBLUE AWYS CORP              COM            477143101      27,336         600       X     28-5284        500                 100

  JOHNSON & JOHNSON              COM            478160104 350,766,298   6,711,946       X     28-5284    5769539     53650    888757
                                                          268,830,980   5,144,106       X   X 28-5284    3432764   1180159    531183
                                                            2,710,517      51,866       X     28-1500                51866
                                                           10,860,778     207,822       X     28-4580     206822                1000
                                                           12,231,662     234,054       X   X 28-4580     189962     21852     22240

  JOHNSON CTLS INC               COM            478366107  10,062,350     123,298       X     28-5284     116283       860      6155
                                                            3,483,604      42,686       X   X 28-5284      27410     13526      1750
                                                                2,448          30       X   X 28-1500         30
                                                              328,072       4,020       X     28-4580       4020
                                                               31,012         380       X   X 28-4580        285        50        45

  JONES APPAREL GROUP INC        COM            480074103     157,500       4,200       X     28-5284       3400                 800
                                                              115,313       3,075       X   X 28-5284                           3075
                                                               81,375       2,170       X   X 28-1500       2170
0                COLUMN TOTAL                             746,694,531
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   103 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  JOURNAL REGISTER CO            COM            481138105     100,500       5,000       X   X 28-5284                           5000

  JUNIPER NETWORKS INC           COM            48203R104     102,966      18,224       X     28-5284      18120        50        54
                                                               34,409       6,090       X   X 28-5284       5690                 400
                                                               23,702       4,195       X   X 28-1500       4195

  JUPITER MEDIA METRIX INC       COM            48206U104          46         200       X   X 28-5284        200
                                                                  581       2,524       X                   2524

  KCS ENERGY INC                 COM            482434206       3,896       2,226       X   X 28-5284       2226

  KLA-TENCOR CORP                COM            482480100     130,650       2,970       X     28-5284       2970
                                                              328,605       7,470       X   X 28-5284       5700                1770

  KLM ROYAL DUTCH AIRLS          COM NY REG NEW 482516309       9,837         813       X     28-5284        813

  K MART CORP                    COM            482584109       4,944       4,800       X     28-5284       4800
                                                                4,812       4,672       X   X 28-5284       3672       500       500

  KPMG CONSULTING INC            COM            48265R109       4,458         300       X     28-5284        300
                                                               41,608       2,800       X   X 28-5284        300                2500

  K-SWISS INC                    CL A           482686102     351,509      13,530       X   X 28-1500      13530

  K V PHARMACEUTICAL CO          CL A           482740206       2,025          75       X   X 28-5284         75

  KAMAN CORP                     CL A           483548103     134,080       8,000       X   X 28-5284                           8000

  KANA SOFTWARE INC              COM NEW        483600300       1,332         333       X     28-5284        333
                                                                   16           4       X   X 28-5284          4

  KANEB PIPE LINE PARTNERS L P   SR PREF UNIT   484169107     186,516       4,950       X     28-5284       3700                1250

  KANEB SERVICES LLC             COM            484173109      30,000       1,500       X     28-5284       1500

  KANSAS CITY LIFE INS CO        COM            484836101      15,468         400       X     28-5284                            400

  KANSAS CITY SOUTHERN           COM NEW        485170302      39,610       2,330       X     28-5284       1130                1200
                                                              102,000       6,000       X   X 28-5284       6000
                                                                7,055         415       X   X 28-1500        415

  KATY INDS INC                  COM            486026107       1,010         200       X   X 28-5284                            200

  KAYDON CORP                    COM            486587108      47,220       2,000       X     28-5284       2000
0                COLUMN TOTAL                               1,708,855
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   104 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  KB HOME                        COM            48666K109      61,812       1,200       X     28-5284       1000                 200
                                                               84,992       1,650       X   X 28-5284         50      1600

  KEANE INC                      COM            486665102         620          50       X   X 28-5284         50

  KEITHLEY INSTRS INC            COM            487584104       7,220         500       X     28-5284        500
                                                                4,332         300       X   X 28-5284        300

  KELLOGG CO                     COM            487836108   3,464,686      96,617       X     28-5284      72343       207     24067
                                                            2,264,738      63,155       X   X 28-5284      39230     19875      4050
                                                               35,860       1,000       X   X 28-1500       1000
                                                              688,512      19,200       X     28-4580      19200
                                                              215,160       6,000       X   X 28-4580       4800                1200

  KELLWOOD CO                    COM            488044108      32,500       1,000       X     28-4580       1000

  KELLY SVCS INC                 CL A           488152208       8,103         300       X     28-5284        300
                                                                3,511         130       X   X 28-5284        130

  KEMET CORP                     COM            488360108     155,382       8,700       X     28-5284       8200                 500
                                                               48,222       2,700       X   X 28-5284       1200                1500
                                                               22,772       1,275       X   X 28-1500       1275

  KENDLE INTERNATIONAL INC       COM            48880L107       4,080         300       X     28-5284        300

  KENNAMETAL INC                 COM            489170100      96,624       2,640       X     28-5284       2640
                                                              328,668       8,980       X   X 28-5284       4284                4696

  KENSEY NASH CORP               COM            490057106      20,250       1,250       X   X 28-5284                           1250

  KENTUCKY ELEC STL INC          COM            49127B100         744       1,550       X     28-5284       1550

  KERR MCGEE CORP                COM            492386107   1,465,074      27,359       X     28-5284       5059               22300
                                                            2,842,595      53,083       X   X 28-5284      21668     31109       306

  KEY ENERGY SVCS INC            COM            492914106      63,000       6,000       X     28-5284       6000
                                                               52,500       5,000       X   X 28-5284                           5000

  KEY PRODTN INC                 COM            493138101      13,845         710       X     28-5284        710

  KEY3MEDIA GROUP INC            COM            49326R104          46         100       X     28-5284        100
0                COLUMN TOTAL                              11,985,848
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   105 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  KEYCORP NEW                    COM            493267108     998,443      36,573       X     28-5284      34163                2410
                                                              883,428      32,360       X   X 28-5284      22760      7794      1806
                                                               26,317         964       X   X 28-4580        964

  KEYSPAN CORP                   COM            49337W100     297,209       7,894       X     28-5284       6994                 900
                                                              284,935       7,568       X   X 28-5284       4188                3380

  KEYSTONE AUTOMOTIVE INDS INC   COM            49338N109     106,568       5,600       X     28-5284       5600

  KILROY RLTY CORP               COM            49427F108     462,775      17,300       X   X 28-5284      17300

  KIMBALL INTL INC               CL B           494274103     131,120       8,000       X     28-5284       1000                7000
                                                               67,199       4,100       X     28-1500                 4100

  KIMBERLY CLARK CORP            COM            494368103  53,612,950     864,725       X     28-5284     792230      4506     67989
                                                           43,423,188     700,374       X   X 28-5284     553955     83486     62933
                                                              204,290       3,295       X     28-1500                 3295
                                                              334,614       5,397       X     28-4580       5397
                                                              575,732       9,286       X   X 28-4580       9146       140

  KIMCO REALTY CORP              COM            49446R109     320,667       9,575       X     28-5284       9275                 300
                                                              832,394      24,855       X   X 28-5284      23955       900

  KINDER MORGAN INC KANS         COM            49455P101      65,775       1,730       X     28-5284       1730
                                                               45,624       1,200       X   X 28-5284        300                 900

  KINDER MORGAN MANAGEMENT LLC   SHS            49455U100       1,281          42       X   X 28-5284                             42

  KINDER MORGAN ENERGY PARTNER   UT LTD PARTNER 494550106     766,404      24,400       X     28-5284      21200      3200
                                                            1,336,370      42,546       X   X 28-5284       3346     38400       800
                                                              193,014       6,145       X   X 28-1500       6145

  KINDRED HEALTHCARE INC         COM            494580103       4,491         101       X     28-5284         75                  26
                                                                  178           4       X   X 28-5284          4

  KING PHARMACEUTICALS INC       COM            495582108     222,967      10,021       X     28-5284       9685                 336
                                                              222,500      10,000       X   X 28-5284                          10000
                                                               12,905         580       X   X 28-1500        580

  KMART FING I                   PFD TRCV 7.75% 498778208      13,200       2,200       X     28-5284       2200
                                                               15,000       2,500       X   X 28-5284       1500      1000
0                COLUMN TOTAL                             105,461,538




1                                                                                                                  FILE NO. 28-1235
   PAGE   106 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  KNIGHT RIDDER INC              COM            499040103     492,584       7,825       X     28-5284       7825
                                                            1,126,616      17,897       X   X 28-5284       8930      4867      4100

  KNIGHT TRADING GROUP INC       COM            499063105       5,240       1,000       X     28-5284       1000

  KNIGHT TRANSN INC              COM            499064103      93,920       4,050       X     28-5284       4050
                                                              346,691      14,950       X   X 28-5284      13700                1250

  KOGER EQUITY INC               COM            500228101     511,450      26,500       X   X 28-5284      26500

  KOHLS CORP                     COM            500255104  42,729,738     609,728       X     28-5284     519356      1335     89037
                                                            7,929,482     113,149       X   X 28-5284      68325     41638      3186
                                                               13,035         186       X   X 28-1500        186
                                                              783,635      11,182       X     28-4580      10891                 291
                                                               89,702       1,280       X   X 28-4580        840       440

  KONINKLIJKE AHOLD N V          SPON ADR NEW   500467303       8,400         400       X     28-5284        400
                                                               31,500       1,500       X   X 28-5284                  500      1000
                                                                1,827          87       X   X 28-1500         87

  KONOVER PPTY TR INC            COM            50047R100         406         200       X     28-5284        200

  KONINKLIJKE PHILIPS ELECTRS    NY REG SH NEW  500472303     389,988      14,130       X     28-5284      14130
                                                              367,549      13,317       X   X 28-5284       6609                6708

  KOOKMIN BK NEW                 SPONSORED ADR  50049M109      23,346         475       X     28-5284        475

  KOPIN CORP                     COM            500600101     177,540      26,900       X     28-5284      26900
                                                                9,240       1,400       X   X 28-5284                 1400

  KOREA ELECTRIC PWR             SPONSORED ADR  500631106     104,700      10,000       X   X 28-5284      10000

  KORN FERRY INTL                COM NEW        500643200      22,750       2,500       X     28-5284                           2500

  KOS PHARMACEUTICALS INC        COM            500648100      50,875       2,500       X     28-5284       2500

  KRAFT FOODS INC                CL A           50075N104  16,672,014     407,131       X     28-5284     273881      4260    128990
                                                            2,670,268      65,208       X   X 28-5284      39365     12763     13080
                                                                4,095         100       X     28-1500                  100
                                                              333,497       8,144       X     28-4580       7522                 622
                                                               44,226       1,080       X   X 28-4580       1080
0                COLUMN TOTAL                              75,034,314
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   107 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  KRAMONT RLTY TR                COM SH BEN INT 50075Q107       3,998         250       X     28-5284        250
                                                              159,900      10,000       X   X 28-5284                          10000

  KRISPY KREME DOUGHNUTS INC     COM            501014104      54,047       1,679       X     28-5284        379                1300
                                                                9,979         310       X   X 28-5284        110                 200
                                                                3,219         100       X   X 28-1500        100

  KROGER CO                      COM            501044101  22,602,102   1,135,784       X     28-5284     920325     14754    200705
                                                            3,884,918     195,222       X   X 28-5284     150890     33034     11298
                                                              474,814      23,860       X   X 28-1500      23860
                                                              159,499       8,015       X     28-4580       8015
                                                               18,507         930       X   X 28-4580        230       700

  KROLL INC                      COM            501049100      23,078       1,100       X     28-5284       1100
                                                              209,800      10,000       X   X 28-5284      10000

  KRONOS INC                     COM            501052104      59,454       1,950       X     28-5284       1950

  KULICKE & SOFFA INDS INC       COM            501242101       9,912         800       X     28-5284        800
                                                               24,780       2,000       X   X 28-5284                 2000

  KYOCERA CORP                   ADR            501556203      14,720         200       X     28-5284                            200

  LCA-VISION INC                 COM NEW        501803209          90          86       X     28-5284         86
                                                                  152         145       X     28-1500                  145

  LNR PPTY CORP                  COM            501940100      96,600       2,800       X   X 28-5284                           2800

  LL & E RTY TR                  UNIT BEN INT   502003106          87          50       X     28-5284         50

  LSI INDS INC                   COM            50216C108      43,390       2,362       X     28-5284       2362

  LSI LOGIC CORP                 COM            502161102      50,838       5,810       X     28-5284       5510                 300
                                                               82,819       9,465       X   X 28-5284       4465                5000
                                                                7,963         910       X   X 28-1500        910

  LTC PPTYS INC                  COM            502175102     189,550      22,300       X     28-5284      22300
                                                                5,457         642       X   X 28-5284        642

  LTX CORP                       COM            502392103      77,112       5,400       X     28-5284       5400
                                                               14,280       1,000       X   X 28-5284       1000
0                COLUMN TOTAL                              28,281,065
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   108 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                

  L-3 COMMUNICATIONS HLDGS INC   COM            502424104     304,020       5,630       X   X 28-5284       5200                 430
                                                                3,996          74       X   X 28-4580                             74

  LVMH MOET HENNESSY LOU VUITT   SPONSORED ADR  502441207     100,900      10,000       X   X 28-5284      10000

  LA QUINTA CORP                 PAIRED CTF     50419U202       3,625         500       X     28-5284        500
                                                               32,973       4,548       X   X 28-5284         48                4500

  LA Z BOY INC                   COM            505336107      37,830       1,500       X   X 28-1500       1500

  LABONE INC NEW                 COM            50540L105      39,063       1,503       X     28-5284       1503

  LABORATORY CORP AMER HLDGS     COM NEW        50540R409       4,565         100       X     28-5284        100
                                                              505,619      11,076       X   X 28-5284       9964      1000       112

  LABOR READY INC                COM NEW        505401208      45,045       7,700       X   X 28-5284                           7700

  LABRANCHE & CO INC             COM            505447102      34,350       1,500       X   X 28-5284       1500

  LACLEDE GROUP INC              COM            505597104      52,149       2,221       X     28-5284       2221
                                                                4,696         200       X   X 28-5284                  200

  LAKELAND BANCORP INC           COM            511637100      12,719         575       X   X 28-5284        575

  LAM RESEARCH CORP              COM            512807108      71,920       4,000       X     28-5284       4000
                                                                7,192         400       X   X 28-5284        400

  LANCASTER COLONY CORP          COM            513847103     258,000       7,235       X   X 28-5284                           7235

  LANCE INC                      COM            514606102      14,580       1,000       X   X 28-5284       1000

  LANCER CORP                    COM            514614106     319,724      52,847       X     28-5284      52847

  LANDAUER INC                   COM            51476K103     121,577       3,131       X     28-5284       1119                2012
                                                              126,120       3,248       X   X 28-5284       3248

  LANDAMERICA FINL GROUP INC     COM            514936103       2,363          75       X     28-5284         75
                                                                5,891         187       X   X 28-5284         75       112

  LANDRYS RESTAURANTS INC        COM            51508L103     103,316       4,050       X   X 28-5284                           4050

  LANDS END INC                  COM            515086106           0       1,600       X     28-5284       1600
0                COLUMN TOTAL                               2,212,233
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   109 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  LANDSTAR SYS INC               COM            515098101     235,070       2,200       X     28-5284       2200

  LANNET INC                     COM            516012101     107,712      10,560       X   X 28-5284      10560

  LARGE SCALE BIOLOGY CORP       COM            517053104       2,180       1,000       X   X 28-5284       1000

  LASERSIGHT INC                 COM            517924106         300       2,500       X   X 28-5284                 2500

  LASALLE HOTEL PPTYS            COM SH BEN INT 517942108      15,750       1,000       X   X 28-5284       1000

  LAUDER ESTEE COS INC           CL A           518439104  15,224,246     432,507       X     28-5284     203857       450    228200
                                                            3,439,814      97,722       X   X 28-5284       8977               88745
                                                              176,880       5,025       X     28-1500                 5025

  LAWSON SOFTWARE INC            COM            520780107      16,156       2,800       X     28-5284       2800

  LAYNE CHRISTENSEN CO           COM            521050104       9,315       1,007       X     28-5284       1007
                                                                9,250       1,000       X   X 28-5284       1000

  LEAP WIRELESS INTL INC         COM            521863100         794         735       X     28-5284        735
                                                                  324         300       X   X 28-5284                            300
                                                                  972         900       X   X 28-1500        900

  LEAR CORP                      COM            521865105       7,400         160       X     28-5284        160

  LEE ENTERPRISES INC            COM            523768109       3,150          90       X   X 28-5284         90

  LEESPORT FINANCIAL CORP        COM            524477106     472,228      24,192       X   X 28-5284      24192

  LEGATO SYS INC                 COM            524651106      65,833      18,287       X     28-5284      18287
                                                                1,800         500       X   X 28-5284        500
                                                                  720         200       X   X 28-1500        200

  LEGGETT & PLATT INC            COM            524660107      80,917       3,458       X     28-5284       3458
                                                               71,955       3,075       X   X 28-5284        600      1300      1175
                                                                7,020         300       X   X 28-1500        300

  LEGG MASON INC                 COM            524901105      24,670         500       X     28-5284                            500
                                                            1,772,342      35,921       X   X 28-5284                          35921
0                COLUMN TOTAL                              21,746,798
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   110 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  LEHMAN BROS HLDGS INC          COM            524908100  33,344,104     533,335       X     28-5284     492645      8295     32395
                                                            7,839,758     125,396       X   X 28-5284      85182     32627      7587
                                                              249,705       3,994       X   X 28-1500       3994
                                                              803,945      12,859       X     28-4580      12779                  80
                                                               95,030       1,520       X   X 28-4580       1170       350

  LENNAR CORP                    COM            526057104      36,720         600       X     28-5284                            600
                                                               12,240         200       X   X 28-5284        200

  LEUCADIA NATL CORP             COM            527288104      18,996         600       X     28-5284        600

  LEVEL 8 SYS INC                COM            52729M102         480       1,000       X   X 28-5284                           1000

  LEVEL 3 COMMUNICATIONS INC     COM            52729N100      20,650       7,000       X     28-5284       7000
                                                                6,933       2,350       X   X 28-1500       2350
                                                                1,475         500       X     28-4580        500
                                                                5,900       2,000       X   X 28-4580       2000

  LEXINGTON CORP PPTYS TR        COM            529043101      30,806       1,867       X     28-5284       1867
                                                               63,971       3,877       X   X 28-5284       3877

  LEXMARK INTL NEW               CL A           529771107     850,544      15,635       X     28-5284      15435                 200
                                                              173,264       3,185       X   X 28-5284       3030                 155
                                                               57,120       1,050       X   X 28-1500       1050

  LIBERTY ALL-STAR GROWTH FD I   COM            529900102      15,281       2,333       X     28-5284       2333

  LIBERATE TECHNOLOGIES          COM            530129105      27,182      10,300       X     28-5284      10300

  LIBERTE INVS INC DEL           COM            530154103         780         200       X     28-5284        200

  LIBERTY ALL STAR EQUITY FD     SH BEN INT     530158104      64,015       7,461       X     28-5284       7461
                                                               14,466       1,686       X   X 28-5284        535      1151
                                                               17,855       2,081       X     28-1500                 2081

  LIBERTY CORP S C               COM            530370105     110,185       2,765       X     28-5284       2765

  LIBERTY MEDIA CORP NEW         COM SER A      530718105  13,714,650   1,371,465       X     28-5284    1371465
                                                              830,980      83,098       X   X 28-5284      30238     16700     36160
                                                               25,980       2,598       X     28-1500                 2598

  LIBERTY MEDIA CORP NEW         COM SER B      530718204      50,196       5,340       X     28-5284       5340
0                COLUMN TOTAL                              58,483,211
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   111 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  LIBERTY PPTY TR                SH BEN INT     531172104   2,593,500      74,100       X   X 28-5284      23800     49400       900

  LIFEPOINT HOSPITALS INC        COM            53219L109     112,307       3,093       X     28-5284       3054                  39
                                                                  871          24       X   X 28-5284         17                   7
                                                                   36           1       X   X 28-1500          1

  LIFELINE SYS INC               COM            532192101      61,636       2,340       X     28-5284       2340

  LIGAND PHARMACEUTICALS INC     CL B           53220K207      29,000       2,000       X   X 28-5284       2000

  LIGHTBRIDGE INC                COM            532226107       6,338         750       X   X 28-5284                            750

  LILLY ELI & CO                 COM            532457108  23,230,370     411,886       X     28-5284     344371     12570     54945
                                                           31,331,215     555,518       X   X 28-5284     374874    131616     49028
                                                              541,102       9,594       X     28-1500                 9594
                                                              970,024      17,199       X     28-4580      17199
                                                              555,540       9,850       X   X 28-4580       8000      1850

  LIMITED BRANDS INC             COM            532716107     270,340      12,692       X     28-5284      12692
                                                              284,632      13,363       X   X 28-5284      11811       924       628

  LINCARE HLDGS INC              COM            532791100      62,985       1,950       X   X 28-5284                           1950
                                                               17,119         530       X   X 28-1500        530

  LINCOLN ELEC HLDGS INC         COM            533900106      30,935       1,150       X     28-4580       1150

  LINCOLN NATL CORP IND          COM            534187109   1,964,550      46,775       X     28-5284      45975                 800
                                                              806,862      19,211       X   X 28-5284      14711      2100      2400
                                                                4,200         100       X   X 28-1500        100

  LINCOLN NATL INCOME FD         COM            534217104      24,700       1,900       X     28-5284       1900

  LINEAR TECHNOLOGY CORP         COM            535678106   1,336,812      42,533       X     28-5284      39744                2789
                                                              538,396      17,130       X   X 28-5284      16500                 630
                                                               62,860       2,000       X   X 28-1500       2000

  LINENS N THINGS INC            COM            535679104      82,484       2,514       X     28-5284       2514

  LIQUID AUDIO INC               COM            53631T102       2,205         900       X     28-5284        900

  LITTELFUSE INC                 COM            537008104     129,528       5,600       X   X 28-5284                 5600

  LIVEPERSON INC                 COM            538146101      52,296      80,455       X   X 28-5284                          80455
0                COLUMN TOTAL                              65,102,843
0
0
0







1                                                                                                                  FILE NO. 28-1235
   PAGE   112 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  LIZ CLAIBORNE INC              COM            539320101  10,116,979     318,144       X     28-5284     246746      1130     70268
                                                            2,284,925      71,853       X   X 28-5284      44840     24298      2715
                                                              371,138      11,671       X     28-4580      11671
                                                               43,089       1,355       X   X 28-4580        795       560

  LLOYDS TSB GROUP PLC           SPONSORED ADR  539439109       5,407         135       X     28-5284        135

  LOCKHEED MARTIN CORP           COM            539830109  10,127,123     145,714       X     28-5284      41934              103780
                                                            4,763,947      68,546       X   X 28-5284      50039     10242      8265
                                                               15,290         220       X   X 28-1500        220
                                                               36,140         520       X     28-4580        520

  LODGIAN INC                    COM            54021P106         180       3,000       X   X 28-5284                 3000

  LODGENET ENTMT CORP            COM            540211109     137,510       9,550       X   X 28-5284                           9550

  LOEWS CORP                     COM            540424108     899,240      16,970       X     28-5284      16970
                                                              102,006       1,925       X   X 28-5284       1000                 925
                                                               21,196         400       X   X 28-4580                  400

  LOEWS CORP                     CAROLNA GP STK 540424207      27,050       1,000       X   X 28-5284                           1000

  LONE STAR TECHNOLOGIES INC     COM            542312103      11,450         500       X     28-5284        500

  LONGS DRUG STORES CORP         COM            543162101         990          35       X   X 28-5284         35

  LOUDEYE CORP                   COM            545754103         288         800       X   X 28-4580        800

  LOUISIANA PAC CORP             COM            546347105       2,732         258       X     28-5284        258
                                                              193,384      18,261       X   X 28-5284      18261

  LOWES COS INC                  COM            548661107  43,290,761     953,541       X     28-5284     776219     11623    165699
                                                           13,611,828     299,820       X   X 28-5284     182054     98751     19015
                                                              190,680       4,200       X   X 28-1500       4200
                                                              367,286       8,090       X     28-4580       8090
                                                              446,055       9,825       X   X 28-4580       8850       975

  LUBRIZOL CORP                  COM            549271104     251,116       7,496       X     28-5284       7496
                                                              495,633      14,795       X   X 28-5284       7345      3550      3900
0                COLUMN TOTAL                              87,813,423
0
0
0






1                                                                                                                  FILE NO. 28-1235
   PAGE   113 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  LUCENT TECHNOLOGIES INC        COM            549463107     997,487     600,896       X     28-5284     553415      7273     40208
                                                            1,245,046     750,028       X   X 28-5284     320862    369305     59861
                                                               87,358      52,625       X     28-1500                52625
                                                               63,233      38,092       X     28-4580      19240               18852
                                                               41,183      24,809       X   X 28-4580      22193      2616

  LUFKIN INDS INC                COM            549764108      28,870       1,000       X     28-4580       1000

  LUMINEX CORP DEL               COM            55027E102      24,145       3,215       X   X 28-5284                           3215

  LUXOTTICA GROUP S P A          SPONSORED ADR  55068R202      77,900       4,100       X   X 28-5284                           4100
                                                               17,100         900       X   X 28-1500        900

  LYNX THERAPEUTICS INC          COM NEW        551812308          52          40       X     28-5284         40

  LYONDELL CHEMICAL CO           COM            552078107      26,863       1,779       X     28-5284       1779
                                                               37,388       2,476       X   X 28-5284       2476
                                                                4,530         300       X   X 28-1500        300

  M & T BK CORP                  COM            55261F104   1,452,946      16,942       X     28-5284      16542       400
                                                            5,270,895      61,461       X   X 28-5284      33888     26673       900

  MBIA INC                       COM            55262C100   7,661,737     135,534       X     28-5284      66580       280     68674
                                                            2,264,479      40,058       X   X 28-5284      26610      7359      6089
                                                               96,666       1,710       X   X 28-1500       1710
                                                              199,042       3,521       X     28-4580       3521

  MBNA CORP                      COM            55262L100 103,582,846   3,132,230       X     28-5284    2698062     32609    401559
                                                           20,638,722     624,092       X   X 28-5284     336844    235730     51518
                                                              258,541       7,818       X   X 28-1500       7818
                                                            4,409,256     133,331       X     28-4580     131797                1534
                                                              603,395      18,246       X   X 28-4580      16919      1100       227

  MBL INTL FIN BERMUDA TR        NOTE  3.000%11 55262XAA2     394,000       4,000       X     28-5284       4000

  MAI SYSTEMS CORP               COM            552620205           1           2       X     28-5284          2

  M D C HLDGS INC                COM            552676108      68,120       1,310       X   X 28-1500       1310

  MDS INC                        COM            55269P302      19,428       1,200       X     28-5284       1200

  MDU RES GROUP INC              COM            552690109     118,962       4,525       X     28-5284       4525
                                                              365,326      13,896       X   X 28-5284      13559                 337
0                COLUMN TOTAL                             150,055,517
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   114 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                               
  MEVC DRAPER FISHER JURVET FD   COM            55271E105       4,245         500       X     28-5284        500

  MEMC ELECTR MATLS INC          COM            552715104      17,640       3,600       X     28-5284       3600

  MFS CHARTER INCOME TR          SH BEN INT     552727109      77,021       9,072       X     28-5284       9072
                                                               72,165       8,500       X   X 28-5284       8500

  MFS INTER INCOME TR            SH BEN INT     55273C107      44,857       6,265       X     28-5284       6265
                                                               15,552       2,172       X   X 28-5284        100      2072
                                                                7,160       1,000       X   X 28-1500       1000
                                                                7,160       1,000       X     28-4580       1000

  MFS MULTIMARKET INCOME TR      SH BEN INT     552737108      24,959       4,252       X     28-5284       4252

  MFS MUN INCOME TR              SH BEN INT     552738106      19,700       2,500       X     28-5284       2500

  MFS SPL VALUE TR               SH BEN INT     55274E102       8,550       1,000       X   X 28-5284                 1000

  MGIC INVT CORP WIS             COM            552848103     900,181      13,277       X     28-5284      10777                2500
                                                              359,340       5,300       X   X 28-5284       3400                1900

  MGM MIRAGE                     COM            552953101       2,700          80       X   X 28-5284                             80

  M/I SCHOTTENSTEIN HOMES INC    COM            55305B101      37,680       1,000       X   X 28-5284       1000

  MKS INSTRUMENT INC             COM            55306N104      70,245       3,500       X     28-5284       3500

  MMO2 PLC                       ADR            55309W101       2,955         469       X     28-5284        469
                                                                1,575         250       X   X 28-5284        250

  MPS GROUP INC                  COM            553409103      59,500       7,000       X   X 28-5284                           7000

  MRV COMMUNICATIONS INC         COM            553477100         609         398       X   X 28-1500        398

  MACDERMID INC                  COM            554273102      21,500       1,000       X     28-5284       1000

  MACERICH CO                    COM            554382101     605,740      19,540       X   X 28-5284      19540

  MACK CALI RLTY CORP            COM            554489104      64,500       1,835       X     28-5284       1835
                                                            1,205,294      34,290       X   X 28-5284      32290      2000

  MACROCHEM CORP DEL             COM            555903103      19,250      11,000       X     28-5284      11000
0                COLUMN TOTAL                               3,650,078
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   115 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MACROMEDIA INC                 COM            556100105      23,284       2,625       X     28-5284       2625
                                                               60,813       6,856       X   X 28-5284       6856

  MADISON BANCSHARES GROUP LTD   COM            556596104      17,360       3,100       X     28-5284       3100

  MADISON GAS & ELEC CO          COM            557497104      11,029         396       X     28-5284        396

  MAGMA DESIGN AUTOMATION        COM            559181102      21,840       1,300       X     28-5284       1300

  MAGNETEK INC                   COM            559424106     102,960      10,400       X     28-5284      10400

  MAGNUM HUNTER RES INC          *W EXP 03/21/2 55972F138         332         400       X     28-5284        400
                                                                    1           1       X   X 28-5284                              1

  MAGNUM HUNTER RES INC          COM PAR $0.002 55972F203       7,890       1,000       X     28-5284       1000
                                                                   63           8       X   X 28-5284                              8

  MAHASKA INVESTMENT CO          COM            559809108     302,400      21,600       X     28-1500      21600

  MAINSOURCE FINANCIAL GP INC    COM            56062Y102     135,996       5,622       X     28-5284       5622
                                                            1,731,544      71,581       X     28-1500      71581

  MALAN RLTY INVS INC            SDCV  9.500% 7 561063AA6  24,093,750     250,000       X     28-5284     250000

  MANAGED HIGH INCOME PORTFOLI   COM            56166C105       9,108       1,513       X     28-5284       1513
                                                               16,868       2,802       X   X 28-1500       2802

  MANAGED MUNS PORTFOLIO INC     COM            561662107     116,424      10,973       X     28-5284      10973
                                                              109,283      10,300       X   X 28-5284      10300

  MANAGED HIGH YIELD PLUS FD I   COM            561911108      18,160       4,000       X     28-5284       4000

  MANDALAY RESORT GROUP          COM            562567107       3,308         120       X     28-5284        120

  MANHATTAN ASSOCS INC           COM            562750109      19,296         600       X     28-5284        600

  MANOR CARE INC NEW             COM            564055101      69,000       3,000       X     28-5284       3000

  MANPOWER INC                   COM            56418H100      62,475       1,700       X   X 28-5284                           1700

  MANULIFE FINL CORP             COM            56501R106   2,376,889      83,108       X     28-5284      77187                5921
                                                              444,816      15,553       X   X 28-5284      11168      1019      3366
0                COLUMN TOTAL                              29,754,889
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   116 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MAPINFO CORP                   COM            565105103         910         100       X   X 28-5284        100

  MARATHON OIL CORP              COM            565849106     558,347      20,588       X     28-5284      19522                1066
                                                              418,760      15,441       X   X 28-5284       1802      3239     10400
                                                              298,320      11,000       X   X 28-1500      11000
                                                                1,112          41       X     28-4580         41
                                                                5,424         200       X   X 28-4580        200

  MARCONI PLC                    SPONSORED ADR  566306205         975       7,500       X     28-5284       7500
                                                                  107         820       X   X 28-1500        820

  MARCUS CORP                    COM            566330106      11,655         700       X     28-5284        700

  MARITRANS INC                  COM            570363101      13,450       1,000       X   X 28-5284       1000

  MARKEL CORP                    COM            570535104     147,750         750       X   X 28-5284                            750

  MARKET 2000+ HOLDRS TR         DEPOSITARY RCT 57059Y204       4,892         100       X     28-5284        100

  MARKETWATCH COM INC            COM            570619106         235          50       X     28-5284         50

  MARSH & MCLENNAN COS INC       COM            571748102  11,925,850     123,456       X     28-5284     119156       150      4150
                                                            6,713,410      69,497       X   X 28-5284      60047      9400        50
                                                              164,220       1,700       X   X 28-1500       1700
                                                              782,460       8,100       X     28-4580       8100
                                                            1,497,590      15,503       X   X 28-4580      15503

  MARSH SUPERMARKETS INC         SDCV  7.000% 2 571783AB5   6,500,000      65,000       X     28-5284      40000               25000

  MARSHALL & ILSLEY CORP         COM            571834100      71,758       2,320       X     28-5284       1120                1200
                                                                6,186         200       X   X 28-5284                  200

  MARRIOTT INTL INC NEW          CL A           571903202   7,577,734     199,152       X     28-5284     168852      1300     29000
                                                            2,587,362      67,999       X   X 28-5284      37164     19100     11735
                                                               76,100       2,000       X     28-4580       2000

  MARTEK BIOSCIENCES CORP        COM            572901106      10,460         500       X     28-5284        500

  MARTHA STEWART LIVING OMNIME   CL A           573083102         574          50       X     28-5284         50
                                                                4,588         400       X   X 28-5284                            400

  MARTIN MARIETTA MATLS INC      COM            573284106      21,294         546       X     28-5284        546
                                                              581,061      14,899       X   X 28-5284       7060                7839
0                COLUMN TOTAL                              39,982,584
0
0
0







1                                                                                                                  FILE NO. 28-1235
   PAGE   117 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MASCO CORP                     COM            574599106   1,051,949      38,803       X     28-5284      38803
                                                            1,424,631      52,550       X   X 28-5284       7550     30000     15000
                                                                4,067         150       X   X 28-1500        150

  MASONITE INTL CORP             COM            575384102      18,470       1,000       X     28-5284       1000

  MASSBANK CORP READ MASS        COM            576152102      67,187       1,899       X   X 28-5284       1899

  MASSEY ENERGY CORP             COM            576206106      13,348       1,051       X     28-5284       1051
                                                               42,024       3,309       X   X 28-5284       2709       600
                                                                2,540         200       X   X 28-1500        200

  MASSMUTUAL CORPORATE INVS IN   COM            576292106       8,632         400       X     28-5284        400
                                                               54,144       2,509       X   X 28-5284       1350                1159

  MATRITECH INC                  COM            576818108       4,463       1,750       X     28-5284       1750

  MATSUSHITA ELEC INDL           ADR            576879209      10,373         750       X     28-5284        750
                                                               27,660       2,000       X   X 28-5284       2000
                                                                1,383         100       X   X 28-1500        100

  MATTEL INC                     COM            577081102     525,356      24,922       X     28-5284      23022                1900
                                                              982,771      46,621       X   X 28-5284       1492      9179     35950
                                                               13,597         645       X   X 28-1500        645

  MATTHEWS INTL CORP             CL A           577128101      70,050       3,000       X     28-5284       3000
                                                              471,670      20,200       X   X 28-5284       2800               17400

  MATTSON TECHNOLOGY INC         COM            577223100      58,374      12,635       X   X 28-5284                          12635

  MAXIM INTEGRATED PRODS INC     COM            57772K101     282,300       7,365       X     28-5284       7065                 300
                                                              130,322       3,400       X   X 28-5284       2800       600
                                                               29,131         760       X   X 28-1500        760

  MAXTOR CORP                    COM NEW        577729205         226          50       X     28-5284         50
                                                                1,876         415       X   X 28-1500        415

  MAXWELL TECHNOLOGIES INC       COM            577767106      43,600       5,000       X   X 28-1500       5000
0                COLUMN TOTAL                               5,340,144
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   118 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MAY DEPT STORES CO             COM            577778103   9,831,087     298,545       X     28-5284     227594     12775     58176
                                                            5,714,508     173,535       X   X 28-5284     120172     33948     19415
                                                                1,976          60       X   X 28-1500         60
                                                              215,692       6,550       X     28-4580       6550
                                                               57,957       1,760       X   X 28-4580                 1760

  MAXXAM INC                     COM            577913106       9,337         845       X     28-5284        845

  MAVERICK TUBE CORP             COM            577914104      15,000       1,000       X   X 28-5284                           1000

  MAXIMUS INC                    COM            577933104       9,510         300       X     28-5284        300

  MAYTAG CORP                    COM            578592107     135,371       3,174       X     28-5284       2774                 400
                                                              986,281      23,125       X   X 28-5284      15350      7600       175
                                                               12,795         300       X   X 28-1500        300
                                                               17,060         400       X   X 28-4580        400

  MCAFEE COM CORP                CL A           579062100     111,264       7,600       X     28-5284       7600

  MCCLATCHY CO                   CL A           579489105     160,625       2,500       X     28-5284       2500
                                                              658,563      10,250       X   X 28-5284                          10250

  MCCORMICK & CO INC             COM NON VTG    579780206     237,055       9,206       X     28-5284       9206
                                                              870,865      33,820       X   X 28-5284      22370      9600      1850

  MCDATA CORP                    CL B           580031102       4,450         500       X     28-5284        500

  MCDATA CORP                    CL A           580031201     294,263      33,401       X     28-5284      33327        34        40
                                                               12,140       1,378       X   X 28-5284       1013       208       157
                                                                  599          68       X   X 28-1500         68
                                                                1,022         116       X     28-4580        116
                                                                1,163         132       X   X 28-4580        132

  MCDERMOTT INTL INC             COM            580037109       8,100       1,000       X   X 28-5284       1000

  MCDONALDS CORP                 COM            580135101  34,307,997   1,205,905       X     28-5284    1047217     14820    143868
                                                           17,520,477     615,834       X   X 28-5284     365422    160683     89729
                                                               66,943       2,353       X     28-1500                 2353
                                                              405,100      14,239       X     28-4580       4639                9600
                                                              200,999       7,065       X   X 28-4580       5450      1615

  MCG CAPITAL CORP               COM            58047P107      13,368         800       X   X 28-5284                  800
0                COLUMN TOTAL                              71,881,567
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   119 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MCGRAW HILL COS INC            COM            580645109  36,217,781     606,663       X     28-5284     445296      9615    151752
                                                           42,725,201     715,665       X   X 28-5284     180293    164478    370894
                                                              149,250       2,500       X   X 28-1500       2500
                                                              811,920      13,600       X     28-4580      13600
                                                              208,353       3,490       X   X 28-4580       2090      1400

  MCKESSON CORP                  COM            58155Q103   1,113,827      34,062       X     28-5284      33937                 125
                                                              206,010       6,300       X   X 28-5284       5100                1200
                                                                7,031         215       X   X 28-1500        215

  MCLEODUSA INC                  CL A           582266706         102         243       X     28-5284        243
                                                                1,301       3,098       X   X 28-5284                           3098

  MCMORAN EXPLORATION CO         COM            582411104          56          13       X     28-5284                             13
                                                                1,157         269       X   X 28-5284         78       179        12
                                                                  572         133       X   X 28-4580        133

  MEADWESTVACO CORP              COM            583334107     870,043      25,925       X     28-5284      25925
                                                            3,018,990      89,958       X   X 28-5284      19596     12602     57760

  MEASUREMENT SPECIALTIES INC    COM            583421102       1,200         400       X     28-5284        400
                                                                  450         150       X   X 28-5284        150

  MECHANICAL TECHNOLOGY INC      COM            583538103         486         450       X   X 28-5284        450

  MEDAREX INC                    COM            583916101         445          60       X     28-5284         60
                                                                5,402         728       X   X 28-5284        728

  MEDALLION FINL CORP            COM            583928106      49,104       9,300       X   X 28-5284       9300

  MEDI-HUT CO INC                COM            58438C103         343         100       X   X 28-5284        100

  MEDIA ARTS GROUP INC           COM            58439C102       1,275         300       X   X 28-5284        300

  MEDIA GEN INC                  CL A           584404107     956,400      15,940       X   X 28-5284      13940                2000

  MEDIACOM COMMUNICATIONS CORP   CL A           58446K105     233,311      29,950       X   X 28-5284                          29950

  MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309     220,128       5,148       X     28-5284       2737                2411

  MEDIMMUNE INC                  COM            584699102     193,486       7,329       X     28-5284       6997                 332
                                                              102,960       3,900       X   X 28-5284       3800       100
0                COLUMN TOTAL                              87,096,584
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   120 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MEDQUIST INC                   COM            584949101      39,306       1,476       X     28-5284       1476

  MEDIS TECHNOLOGIES LTD         COM            58500P107      94,876      11,996       X     28-5284      11996
                                                               71,917       9,093       X   X 28-5284       9093

  MEDIX RES INC                  COM            585011109       5,320      14,000       X     28-5284      14000

  MEDTRONIC INC                  COM            585055106 101,039,572   2,357,983       X     28-5284    2210373     23354    124256
                                                           48,910,490   1,141,435       X   X 28-5284     781416    278202     81817
                                                              338,044       7,889       X     28-1500                 7889
                                                            1,717,857      40,090       X     28-4580      39458                 632
                                                            1,197,529      27,947       X   X 28-4580      14747     12997       203

  MELLON FINL CORP               COM            58551A108  22,672,848     721,376       X     28-5284     694885      1951     24540
                                                           10,011,524     318,534       X   X 28-5284     191358     92165     35011
                                                                1,257          40       X   X 28-1500         40
                                                              558,825      17,780       X     28-4580      17780

  MENS WEARHOUSE INC             COM            587118100       5,738         225       X     28-5284        225
                                                                3,825         150       X   X 28-5284        150

  MENTOR GRAPHICS CORP           COM            587200106      17,064       1,200       X     28-5284        600                 600

  MERCANTILE BANKSHARES CORP     COM            587405101     381,579       9,300       X     28-5284       9300
                                                              623,656      15,200       X   X 28-5284      10000      1050      4150
                                                              597,397      14,560       X   X 28-1500      14560
                                                            2,297,680      56,000       X   X 28-4580      49000                7000

  MERCHANTS BANCSHARES           COM            588448100   1,781,934      62,700       X     28-1500      62700

  MERCK & CO INC                 COM            589331107 235,005,960   4,640,718       X     28-5284    3965348     48327    627043
                                                          374,390,028   7,393,168       X   X 28-5284    3402059   3507759    483350
                                                            1,386,827      27,386       X     28-1500                27386
                                                            3,916,852      77,347       X     28-4580      77175                 172
                                                            6,980,015     137,836       X   X 28-4580      92700      1430     43706

  MERCURY COMPUTER SYS           COM            589378108       6,210         300       X   X 28-5284        300

  MERCURY INTERACTIVE CORP       COM            589405109       5,510         240       X     28-5284        240
                                                               11,480         500       X   X 28-5284        500

  MEREDITH CORP                  COM            589433101       3,835         100       X     28-5284        100
                                                               40,268       1,050       X   X 28-5284         50                1000
0                COLUMN TOTAL                             814,115,223
0
0
0







1                                                                                                                  FILE NO. 28-1235
   PAGE   121 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                
  MERIDIAN BIOSCIENCE INC        COM            589584101      26,765       3,879       X     28-5284       3879
                                                                1,553         225       X     28-1500                  225

  MERIDIAN GOLD INC              COM            589975101      77,040       4,800       X   X 28-5284                           4800

  MERIX CORP                     COM            590049102       3,432         400       X     28-5284        400

  MERRILL LYNCH & CO INC         COM            590188108  10,164,569     250,977       X     28-5284     153218      1400     96359
                                                            8,588,106     212,052       X   X 28-5284     165625     28675     17752
                                                               55,202       1,363       X   X 28-1500       1363
                                                               52,650       1,300       X     28-4580       1300
                                                               97,200       2,400       X   X 28-4580       2400

  METASOLV INC                   COM            59139P104       8,379       2,100       X     28-5284       2100

  METLIFE INC                    COM            59156R108     659,347      22,894       X     28-5284      19596       198      3100
                                                              510,538      17,727       X   X 28-5284       2347     15380
                                                                1,411          49       X   X 28-1500         49
                                                                2,880         100       X   X 28-4580        100

  METRO GOLDWYN MAYER INC        COM            591610100     441,792      37,760       X   X 28-5284                          37760

  METRO ONE TELECOMMUNICATIONS   COM            59163F105       7,329         525       X   X 28-1500        525

  MICHAELS STORES INC            COM            594087108   1,930,500      49,500       X     28-5284      49500
                                                               85,800       2,200       X   X 28-5284                           2200
                                                               11,700         300       X   X 28-1500        300

  MICROS SYS INC                 COM            594901100     138,550       5,000       X   X 28-5284       5000

  MICROSOFT CORP                 COM            594918104 214,556,429   3,922,421       X     28-5284    3611980     60081    250360
                                                          122,615,794   2,241,605       X   X 28-5284    1478042    522799    240764
                                                            1,740,718      31,823       X     28-1500                31823
                                                            6,057,095     110,733       X     28-4580     109527                1206
                                                            2,164,479      39,570       X   X 28-4580      30680      8710       180

  MICROSTRATEGY INC              CL A           594972101      12,500      25,000       X     28-5284      25000

  MICROCHIP TECHNOLOGY INC       COM            595017104      75,433       2,750       X     28-5284       2000                 750
                                                              246,870       9,000       X   X 28-5284        150                8850
0                COLUMN TOTAL                             370,334,061
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   122 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MICRON TECHNOLOGY INC          COM            595112103     122,958       6,081       X     28-5284       6081
                                                              114,587       5,667       X   X 28-5284       5667
                                                                1,820          90       X   X 28-1500         90

  MICROTUNE INC DEL              COM            59514P109      97,119      10,900       X     28-5284      10900

  MID-AMER APT CMNTYS INC        COM            59522J103       2,943         110       X   X 28-5284        110

  MID ATLANTIC MED SVCS INC      COM            59523C107     128,378       4,095       X     28-5284       4095
                                                              184,965       5,900       X   X 28-5284       5900

  MID-ATLANTIC RLTY TR           SH BEN INT     595232109      14,080         800       X     28-5284        800
                                                                5,280         300       X   X 28-5284                  300

  MID PENN BANCORP INC           COM            59540G107       5,370         300       X     28-5284        300

  MIDAS GROUP INC                COM            595626102       2,728         220       X     28-5284        220
                                                               10,007         807       X   X 28-5284        766        41

  MIDCAP SPDR TR                 UNIT SER 1     595635103 126,833,157   1,416,339       X     28-5284    1404608      1200     10531
                                                           47,354,488     528,805       X   X 28-5284     263310     93963    171532
                                                               83,729         935       X   X 28-1500        935
                                                              989,080      11,045       X     28-4580      11045
                                                               62,685         700       X   X 28-4580        550       150

  MIDDLESEX WATER CO             COM            596680108     374,820      14,268       X     28-5284       4500                9768
                                                               98,513       3,750       X   X 28-5284                 3750

  MIDLAND CO                     COM            597486109     644,300      12,766       X     28-5284      12766

  MIDWAY GAMES INC               COM            598148104      41,064       4,831       X     28-5284       4831
                                                               25,500       3,000       X   X 28-5284       3000

  MILACRON INC                   COM            598709103   9,016,570     888,332       X     28-5284     888332
                                                            6,095,197     600,512       X   X 28-5284     583012     17500
                                                               53,917       5,312       X   X 28-1500       5312

  MILLENNIUM PHARMACEUTICALS I   COM            599902103      49,147       4,045       X     28-5284       4045
                                                              239,622      19,722       X   X 28-5284      18477                1245

  MILLENNIUM CHEMICALS INC       COM            599903101       3,246         231       X   X 28-5284        124                 107

  MILLEA HOLDINGS INC            ADR            60032R106      10,188         250       X     28-5284        250
0                COLUMN TOTAL                             192,665,458
0
0
0







1                                                                                                                  FILE NO. 28-1235
   PAGE   123 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MILLER HERMAN INC              COM            600544100      60,900       3,000       X     28-5284       3000
                                                              203,000      10,000       X   X 28-5284                          10000

  MILLIPORE CORP                 COM            601073109     280,656       8,776       X     28-5284       8776
                                                              575,064      17,982       X   X 28-5284       1400      7332      9250

  MILLS CORP                     COM            601148109       6,200         200       X   X 28-5284        200

  MINE SAFETY APPLIANCES CO      COM            602720104     629,280      15,732       X     28-5284      15732
                                                            1,098,000      27,450       X   X 28-5284      27450

  MIPS TECHNOLOGIES INC          CL B           604567206         106          19       X     28-5284         19
                                                                  769         138       X   X 28-5284        138

  MIRANT TR I                    PFD CV SER A   60467Q102     148,200       5,000       X   X 28-5284                 5000

  MIRANT CORP                    COM            604675108     149,475      20,476       X     28-5284      19766                 710
                                                              429,204      58,795       X   X 28-5284      24608     11349     22838
                                                                  993         136       X     28-1500                  136
                                                               24,659       3,378       X     28-4580       2663                 715

  MISONIX INC                    COM            604871103       2,831         450       X     28-5284        450

  MISSION RESOURCES CORP         COM            605109107         716         511       X   X 28-5284                  511
                                                                1,401       1,000       X   X 28-1500       1000

  MITSUBISHI TOKYO FINL GROUP    SPONSORED ADR  606816106       6,800       1,000       X   X 28-1500       1000

  MOBILE MINI INC                COM            60740F105       4,275         250       X   X 28-1500        250

  MODEM MEDIA INC                CL A           607533106          94          26       X     28-5284         26

  MODINE MFG CO                  COM            607828100     122,900       5,000       X   X 28-5284                           5000

  MOHAWK INDS INC                COM            608190104      30,765         500       X     28-5284        200                 300
                                                              246,120       4,000       X   X 28-5284       3800       200

  MOLEX INC                      COM            608554101     596,599      17,793       X     28-5284      15343      2450
                                                              169,628       5,059       X   X 28-5284       5059

  MOLEX INC                      CL A           608554200     720,120      26,253       X     28-5284      26253
                                                              511,624      18,652       X   X 28-5284       3512               15140
                                                               13,715         500       X     28-4580        500
0                COLUMN TOTAL                               6,034,094
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   124 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MONDAVI ROBERT CORP            CL A           609200100      10,269         300       X     28-5284        300

  MONMOUTH CAP CORP              COM            609524103      12,750       3,400       X   X 28-1500       3400

  MONOLITHIC SYS TECHNOLOGY IN   COM            609842109      69,440       6,200       X     28-5284       6200
                                                               33,600       3,000       X   X 28-5284       3000

  MONROE BANCORP                 COM            610313108       5,512         400       X     28-1500                  400

  MONSANTO CO NEW                COM            61166W101      21,360       1,200       X   X 28-5284       1200

  MONTGOMERY STR INCOME SECS I   COM            614115103      10,222         540       X     28-5284        540
                                                               22,697       1,199       X   X 28-5284                 1199

  MONY GROUP INC                 COM            615337102     999,248      29,381       X     28-5284      18142     11239
                                                               39,043       1,148       X   X 28-5284        456       692

  MOODYS CORP                    COM            615369105   7,275,440     146,240       X     28-5284     140820                5420
                                                            1,078,978      21,688       X   X 28-5284      17033      4520       135
                                                                1,741          35       X   X 28-1500         35
                                                               34,825         700       X     28-4580        700
                                                              192,383       3,867       X   X 28-4580       3867

  MOORE LTD                      COM            615785102     112,504       9,800       X   X 28-5284                           9800

  MORGAN STANLEY EMER MKTS DEB   COM            61744H105      32,249       4,555       X     28-5284       4555
                                                               75,756      10,700       X   X 28-5284                10700

  MORGAN STANLEY HIGH YIELD FD   COM            61744M104     135,054      21,960       X   X 28-5284       3900     18060

  MORGAN STANLEY GBL OPP BOND    COM            61744R103       2,524         400       X   X 28-5284        400

  MORGAN STANLEY ASIA PAC FD I   COM            61744U106      23,100       2,686       X   X 28-5284       2686

  MORGAN STANLEY DEAN WITTER&C   COM NEW        617446448  56,263,385   1,306,021       X     28-5284    1150468     14772    140781
                                                           34,565,884     802,365       X   X 28-5284     398123    293449    110793
                                                              355,625       8,255       X     28-1500                 8255
                                                            1,388,382      32,228       X     28-4580      32228
                                                              392,243       9,105       X   X 28-4580       8427       512       166

  MORGAN STANLEY INDIA INVS FD   COM            61745C105      10,164       1,100       X     28-5284       1100

  MORGAN STANLEY                 GOVT INCOME TR 61745P106       6,335         700       X     28-5284        700
0                COLUMN TOTAL                             103,170,713
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   125 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MORGAN STANLEY                 HI INCM ADVANT 61745P205       1,820       2,000       X   X 28-5284       2000

  MORGAN STANLEY                 MUN PREM INCOM 61745P429      36,400       4,000       X     28-5284                           4000
                                                               83,720       9,200       X   X 28-5284       7100      2100

  MORGAN STANLEY                 MUN INCM OPPTN 61745P452      52,731       6,486       X   X 28-5284       6486
                                                                8,130       1,000       X     28-4580       1000

  MORGAN STANLEY                 QULTY MUN SECS 61745P585       6,357         460       X   X 28-5284        460
                                                               20,730       1,500       X     28-4580       1500

  MORGAN STANLEY                 QLT MUN INV TR 61745P668      32,793       2,290       X     28-5284       2290

  MORGAN STANLEY                 QUALT MUN INCM 61745P734      30,945       2,167       X     28-5284       2167

  MORGAN STANLEY                 INSD MUN INCM  61745P791      32,885       2,329       X     28-4580       2329

  MORGAN STANLEY                 INSD MUN TR    61745P866       5,407         376       X     28-5284        376
                                                               16,178       1,125       X   X 28-5284        525       600

  MORGAN STANLEY                 INCOME SEC INC 61745P874       8,025         496       X     28-5284        496

  MOTOROLA INC                   COM            620076109  21,744,061   1,490,340       X     28-5284    1387125     32316     70899
                                                           20,122,324   1,379,186       X   X 28-5284     989473    271734    117979
                                                              255,719      17,527       X     28-1500                17527
                                                              621,797      42,618       X     28-4580      42318                 300
                                                              634,402      43,482       X   X 28-4580      33032     10450

  MUELLER INDS INC               COM            624756102      25,400         800       X     28-5284        800
                                                              132,842       4,184       X   X 28-5284       4000       184

  MUNIYIELD N J INSD FD INC      COM            625921101      36,520       2,409       X     28-5284       2409

  MUNIHOLDINGS FD II INC         COM            625935101      34,344       2,700       X     28-5284       2700

  MUNIHOLDINGS N J INSD FD INC   COM            625936109     204,980      14,800       X     28-5284      14800

  MUNICIPAL HIGH INCOME FD INC   COM            626214100      16,760       2,034       X     28-5284       2034

  MUNICIPAL MTG & EQUITY L L C   GROWTH SHS     62624B101      89,336       3,415       X     28-5284       1510                1905
                                                                4,997         191       X   X 28-5284        191

  MUNIHOLDINGS FLA INSD FD       COM            62624W105      32,568       2,318       X     28-5284       2318
0                COLUMN TOTAL                              44,292,171
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   126 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MUNIENHANCED FD INC            COM            626243109      58,185       5,304       X     28-5284       5304

  MUNIINSURED FD INC             COM            626245104      11,215       1,188       X     28-5284       1188

  MUNIYIELD CALIF INSD FD II I   COM            62629L104      44,211       3,258       X     28-5284       3258

  MUNIVEST FD II INC             COM            62629P105      44,996       3,333       X   X 28-5284       3333

  MUNIVEST FD INC                COM            626295109      95,783      10,750       X     28-5284      10750
                                                               44,550       5,000       X   X 28-5284       5000
                                                                4,455         500       X     28-4580                            500

  MUNIYIELD FLA FD               COM            626297105     733,326      54,200       X     28-5284                          54200

  MUNIYIELD FLA INSD FD          COM            626298103     630,601      44,098       X     28-5284       4098               40000

  MUNIYIELD FD INC               COM            626299101      51,065       3,791       X     28-5284                           3791
                                                               37,837       2,809       X   X 28-5284       2809

  MUNIYIELD INSD FD INC          COM            62630E107     102,673       7,076       X     28-5284       7076
                                                               29,005       1,999       X   X 28-5284       1999
                                                               19,487       1,343       X     28-4580       1343

  MUNIYIELD N J FD INC           COM            62630L101      33,554       2,258       X     28-5284                           2258
                                                              158,200      10,646       X   X 28-5284      10646

  MUNIYIELD QUALITY FD II        COM            62630T104      16,028       1,339       X     28-5284       1339

  MUNIYIELD PA INSD FD           COM            62630V109     283,466      18,723       X     28-5284      18723
                                                               93,232       6,158       X   X 28-5284       5491                 667
                                                            1,091,594      72,100       X     28-4580      72100
                                                               96,896       6,400       X   X 28-4580       6400

  MUNIYIELD N Y INSD FD INC      COM            626301105      54,756       4,056       X     28-5284       4056

  MUNIYIELD QUALITY FD INC       COM            626302103      32,287       2,261       X   X 28-5284       1261      1000
                                                               15,222       1,066       X   X 28-1500       1066

  MURPHY OIL CORP                COM            626717102      24,750         300       X     28-5284        300
                                                              174,075       2,110       X   X 28-5284        800                1310

  MYKROLIS CORP                  COM            62852P103      56,534       4,787       X     28-5284       4787
                                                               75,100       6,359       X   X 28-5284       1398      4961
0                COLUMN TOTAL                               4,113,083
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   127 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  MYLAN LABS INC                 COM            628530107     315,883      10,076       X     28-5284       9875                 201
                                                            1,461,537      46,620       X   X 28-5284      15350     21500      9770
                                                               28,215         900       X   X 28-4580                  900

  MYRIAD GENETICS INC            COM            62855J104      61,020       3,000       X     28-5284       3000
                                                                6,102         300       X   X 28-5284        300
                                                                1,526          75       X   X 28-1500         75

  NBC CAP CORP                   COM            628729105     248,558       6,541       X     28-5284                           6541
                                                              703,000      18,500       X   X 28-5284      18500

  NBT BANCORP INC                COM            628778102   1,462,261      80,922       X     28-5284      38717               42205
                                                              100,975       5,588       X   X 28-5284       4000      1588

  NBTY INC                       COM            628782104  23,529,600   1,520,000       X     28-5284    1520000
                                                               61,920       4,000       X   X 28-5284       4000

  NCO GROUP INC                  COM            628858102   8,663,256     397,762       X     28-5284       1000              396762
                                                            1,671,484      76,744       X   X 28-5284                          76744

  NCR CORP NEW                   COM            62886E108     180,508       5,217       X     28-5284       4666                 551
                                                              140,130       4,050       X   X 28-5284       1697      1005      1348
                                                                1,280          37       X   X 28-1500         37
                                                               18,338         530       X     28-4580        530
                                                                2,526          73       X   X 28-4580         73

  NS GROUP INC                   COM            628916108       4,775         500       X     28-5284        500

  NEC CORP                       ADR            629050204       6,950       1,000       X     28-5284       1000

  NL INDS INC                    COM NEW        629156407      14,716         965       X     28-5284        965
                                                                5,033         330       X   X 28-5284        330

  NPS PHARMACEUTICALS INC        COM            62936P103      49,024       3,200       X     28-5284       3200

  NSD BANCORP INC                COM            62938D108     191,417       8,603       X     28-5284       8603

  NTN COMMUNUNICATIONS INC       COM NEW        629410309         575         500       X     28-5284        500

  NTT DOCOMO INC                 SPONS ADR      62942M201       3,080         125       X   X 28-5284        125

  NUI CORP                       COM            629431107     148,720       5,408       X     28-5284       2054                3354
0                COLUMN TOTAL                              39,082,409
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   128 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NVR INC                        COM            62944T105         646           2       X   X 28-5284                              2
                                                                8,075          25       X   X 28-1500         25

  NABORS INDS INC                COM            629568106      35,300       1,000       X     28-5284       1000
                                                              248,865       7,050       X   X 28-5284       2500                4550

  NACCO INDS INC                 CL A           629579103      58,100       1,000       X     28-5284                           1000

  NANOGEN INC                    COM            630075109         700         200       X   X 28-1500        200

  NANOPHASE TCHNOLOGIES CORP     COM            630079101         117          20       X     28-5284         20

  NAPRO BIOTHERAPUTICS INC       COM            630795102       8,856       1,350       X     28-5284                           1350
                                                                2,624         400       X   X 28-5284        400

  NASDAQ 100 TR                  UNIT SER 1     631100104   2,088,679      80,026       X     28-5284      79496        50       480
                                                           12,369,077     473,911       X   X 28-5284     429171     21346     23394
                                                              119,799       4,590       X   X 28-1500       4590
                                                              133,502       5,115       X     28-4580       5115
                                                                7,334         281       X   X 28-4580        281

  NASHUA CORP                    COM            631226107      21,300       3,000       X   X 28-5284                           3000

  NASSDA CORP                    COM            63172M101      25,977       2,100       X     28-5284       2100

  NASTECH PHARMACEUTICAL INC     COM PAR $0.006 631728409      49,290       3,000       X   X 28-1500       3000

  NATIONAL AUSTRALIA BK LTD      SPONSORED ADR  632525408       7,456          75       X   X 28-5284                             75

  NATIONAL CITY CORP             COM            635405103  79,078,608   2,378,304       X     28-5284    1768147      7222    602935
                                                           19,834,889     596,538       X   X 28-5284     298557     82181    215800
                                                              255,693       7,690       X     28-1500                 7690
                                                               91,903       2,764       X     28-4580       2764
                                                               93,100       2,800       X   X 28-4580       2800

  NATIONAL COMMERCE FINL CORP    COM            63545P104     160,667       6,109       X     28-5284       6109
                                                              507,380      19,292       X   X 28-5284       7142               12150

  NATIONAL HEALTHCARE CORP       COM            635906100      42,500       2,000       X   X 28-1500       2000

  NATIONAL FUEL GAS CO N J       COM            636180101     489,322      21,738       X     28-5284      15778                5960
                                                              212,112       9,423       X   X 28-5284       6041                3382
0                COLUMN TOTAL                             115,951,871
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   129 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NATIONAL GOLF PPTYS INC        COM            63623G109       2,565         300       X   X 28-5284        300

  NATIONAL GRID GROUP PLC        SPONSORED ADR  636274102       2,918          83       X     28-5284         83

  NATIONAL HEALTH INVS INC       COM            63633D104      32,000       2,000       X     28-5284       2000
                                                               70,320       4,395       X   X 28-1500       4395

  NATIONAL-OILWELL INC           COM            637071101      56,835       2,700       X     28-5284       2700

  NATIONAL PENN BANCSHARES INC   COM            637138108     332,164      12,678       X     28-5284      12678
                                                               56,671       2,163       X   X 28-5284       2163

  NATIONAL PRESTO INDS INC       COM            637215104       1,120          35       X   X 28-5284         35

  NATIONAL PROCESSING INC        COM            637229105     283,800      11,000       X     28-5284      11000
                                                               15,480         600       X   X 28-5284                            600

  NATIONAL SEMICONDUCTOR CORP    COM            637640103      64,757       2,220       X     28-5284       2220
                                                                8,751         300       X   X 28-5284        300
                                                                5,834         200       X   X 28-1500        200

  NATIONAL SVC INDS INC          COM NEW        637657206       1,863         207       X   X 28-5284        207

  NATIONWIDE FINL SVCS INC       CL A           638612101      16,590         420       X   X 28-1500        420

  NATIONWIDE HEALTH PPTYS INC    COM            638620104     913,894      48,741       X     28-5284      48741
                                                               26,250       1,400       X   X 28-5284       1400

  NAUTILUS GROUP INC             COM            63910B102       3,060         100       X     28-5284        100
                                                              229,500       7,500       X   X 28-5284       7500

  NAVISTAR INTL CORP NEW         COM            63934E108      26,240         820       X     28-5284        820
                                                               64,000       2,000       X   X 28-5284                           2000

  NEIMAN MARCUS GROUP INC        CL B           640204301      14,817         459       X     28-5284        459
                                                              210,014       6,506       X   X 28-5284       1506                5000

  NEOMAGIC CORP                  COM            640497103       1,862         700       X   X 28-5284                  700

  NEORX CORP                     COM PAR $0.02  640520300         576         480       X     28-5284        480

  NEOSE TECHNOLOGIES INC         COM            640522108       1,090         100       X     28-5284        100
                                                                3,270         300       X   X 28-5284        300
0                COLUMN TOTAL                               2,446,241
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   130 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NEOTHERAPEUTICS INC            COM            640656104         152         800       X   X 28-5284                  800

  NETBANK INC                    COM            640933107       1,748         150       X     28-5284        150

  NETWORKS ASSOCS INC            COM            640938106       8,190         425       X     28-5284        425
                                                                1,927         100       X   X 28-5284        100

  NET2PHONE                      COM            64108N106      12,810       3,000       X     28-1500                 3000

  NETFLIX COM INC                COM            64110L106       6,995         500       X   X 28-5284        500

  NETEGRITY INC                  COM            64110P107         370          60       X     28-5284         60
                                                                9,240       1,500       X   X 28-5284        500                1000

  NETRO CORP                     COM            64114R109         114          50       X     28-5284                             50

  NETIQ CORP                     COM            64115P102      70,515       3,116       X     28-5284                           3116

  NETSCOUT SYS INC               COM            64115T104       5,872         861       X     28-5284                            861

  NETSCREEN TECHNOLOGIES INC     COM            64117V107      13,770       1,500       X     28-5284       1500

  NETWORK APPLIANCE INC          COM            64120L104     193,653      15,567       X     28-5284      15567
                                                                6,220         500       X   X 28-5284                  500
                                                               13,995       1,125       X     28-1500                 1125

  NEUROGEN CORP                  COM            64124E106       5,845         500       X     28-5284        500

  NEUROCRINE BIOSCIENCES INC     COM            64125C109     131,790       4,600       X     28-5284       4600

  NEW AMER HIGH INCOME FD INC    COM            641876107       4,669       2,030       X     28-5284       2030

  NEW CENTY EQUITY HLDGS CORP    COM            64353J107         360         800       X     28-5284        800

  NEW ENGLAND BUSINESS SVC INC   COM            643872104       1,257          50       X   X 28-5284         50

  NEW ENGLAND RLTY ASSOC LTD P   DEPOSITRY RCPT 644206104      12,481         310       X     28-5284        310

  NEW JERSEY RES                 COM            646025106      80,595       2,700       X     28-5284       1800                 900
                                                              230,860       7,734       X   X 28-5284       3000      3534      1200

  NEW PLAN EXCEL RLTY TR INC     COM            648053106     146,852       7,050       X     28-5284       7050
                                                              203,093       9,750       X   X 28-5284       9150       600
0                COLUMN TOTAL                               1,163,373
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   131 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NEW VY CORP                    *W EXP 06/14/2 649080116           2          15       X     28-5284         15

  NEW YORK CMNTY BANCORP INC     COM            649445103      60,975       2,250       X     28-5284       2250
                                                              302,761      11,172       X   X 28-5284      10972                 200

  NEW YORK TIMES CO              CL A           650111107     856,136      16,624       X     28-5284      16624
                                                              671,303      13,035       X   X 28-5284        400      1600     11035
                                                               46,350         900       X   X 28-1500        900

  NEWELL RUBBERMAID INC          COM            651229106  31,604,066     901,428       X     28-5284     471322      1565    428541
                                                           21,483,821     612,773       X   X 28-5284      87064     23099    502610
                                                               17,530         500       X     28-1500                  500
                                                              138,171       3,941       X     28-4580       3941
                                                                7,012         200       X   X 28-4580                  200

  NEWFIELD EXPL CO               COM            651290108      18,585         500       X     28-5284                            500

  NEWHALL LAND & FARMING CO CA   DEPOSITARY REC 651426108     992,000      31,000       X   X 28-5284      31000

  NEWMONT MINING CORP            COM            651639106     253,110       9,613       X     28-5284       9613
                                                            1,449,388      55,047       X   X 28-5284      50083      2403      2561
                                                               20,195         767       X   X 28-1500        767
                                                              103,266       3,922       X   X 28-4580       3922

  NEWPARK RES INC                COM PAR $.01NE 651718504       2,205         300       X   X 28-5284        300

  NEWPORT CORP                   COM            651824104      29,754       1,900       X     28-5284       1900
                                                               32,886       2,100       X   X 28-5284       1200                 900
                                                               21,846       1,395       X     28-4580       1395

  NEWS CORP LTD                  ADR NEW        652487703     137,007       5,975       X     28-5284       5800                 175
                                                               85,070       3,710       X   X 28-5284       2010       600      1100

  NEXMED INC                     COM            652903105         750         300       X   X 28-5284        300

  NEXTEL COMMUNICATIONS INC      CL A           65332V103     213,362      66,468       X     28-5284      65523       125       820
                                                               83,283      25,945       X   X 28-5284      16860      3895      5190
                                                                  963         300       X   X 28-1500        300
                                                               13,322       4,150       X     28-4580       4150

  NEXTEL PARTNERS INC            CL A           65333F107         461         153       X     28-5284        153

  NEXPRISE INC NEW               COM NEW        65333Q202         665         133       X     28-5284        133
0                COLUMN TOTAL                              58,646,245
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   132 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NEXEN INC                      COM            65334H102       5,552         203       X     28-5284        203

  NICOR INC                      COM            654086107     156,923       3,430       X     28-5284       3430
                                                               87,383       1,910       X   X 28-5284       1750       160

  NIKE INC                       CL B           654106103  10,859,887     202,421       X     28-5284      73696              128725
                                                              485,533       9,050       X   X 28-5284       6600                2450
                                                              154,136       2,873       X     28-1500                 2873
                                                               26,825         500       X   X 28-4580        500

  99 CENTS ONLY STORES           COM            65440K106     375,336      14,633       X   X 28-5284       6700       333      7600

  NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105       2,574         125       X     28-5284        125
                                                               16,472         800       X   X 28-5284        800
                                                                1,132          55       X   X 28-1500         55

  NISOURCE INC                   COM            65473P105   1,391,029      63,721       X     28-5284      56521      1200      6000
                                                            1,878,821      86,066       X   X 28-5284      71201     13665      1200
                                                              154,993       7,100       X     28-4580       7100
                                                              153,923       7,051       X   X 28-4580        176      5375      1500

  NOBEL LEARNING CMNTYS INC      COM            654889104     273,456      47,229       X   X 28-5284                          47229

  NOKIA CORP                     SPONSORED ADR  654902204  22,788,523   1,573,793       X     28-5284    1327553     11813    234427
                                                           10,682,374     737,733       X   X 28-5284     508997    193498     35238
                                                              380,911      26,306       X     28-1500                26306
                                                              156,239      10,790       X     28-4580      10790
                                                              560,231      38,690       X   X 28-4580      14500     24190

  NOBLE ENERGY INC               COM            655044105      72,100       2,000       X     28-5284       2000
                                                               18,025         500       X   X 28-5284        500

  NORAM ENERGY CORP              SDCV  6.000% 3 655419AC3   1,687,500      22,500       X   X 28-5284                22500

  NORDSON CORP                   COM            655663102   3,790,242     153,700       X     28-5284     153700

  NORDSTROM INC                  COM            655664100      79,275       3,500       X   X 28-5284       1500      2000
                                                               18,120         800       X   X 28-4580        800

  NORFOLK SOUTHERN CORP          COM            655844108  11,182,140     478,278       X     28-5284     374588     50990     52700
                                                           13,311,309     569,346       X   X 28-5284     211614    160442    197290
                                                               21,042         900       X     28-4580        900
                                                               18,704         800       X   X 28-4580        800
0                COLUMN TOTAL                              80,790,710
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   133 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NORSK HYDRO A S                SPONSORED ADR  656531605     811,881      16,872       X     28-5284      12232                4640
                                                              202,104       4,200       X   X 28-5284                           4200

  NORTEL NETWORKS CORP NEW       COM            656568102     613,166     422,873       X     28-5284     413273      1600      8000
                                                              348,963     240,664       X   X 28-5284     182683     15121     42860
                                                                7,149       4,930       X   X 28-1500       4930
                                                               28,065      19,355       X     28-4580      19355
                                                                5,945       4,100       X   X 28-4580       3100      1000

  NORTH AMERN PALLADIUM LTD      COM            656912102          12           2       X     28-5284          2

  NORTH EUROPEAN OIL RTY TR      SH BEN INT     659310106   1,307,877      54,700       X     28-5284      19700               35000
                                                              138,678       5,800       X   X 28-5284        600                5200

  NORTH FORK BANCORPORATION NY   COM            659424105      92,041       2,312       X     28-5284       1112                1200
                                                              373,219       9,375       X   X 28-5284       6575                2800

  NORTH PITTSBURGH SYS INC       COM            661562108     100,192       6,227       X     28-5284       6227
                                                               30,893       1,920       X   X 28-5284       1920

  NORTHEAST PA FINL CORP         COM            663905107      33,985       2,035       X     28-5284       2035

  NORTHEAST UTILS                COM            664397106     127,551       6,781       X     28-5284       5200                1581
                                                              362,375      19,265       X   X 28-5284       4265               15000

  NORTHERN BORDER PARTNERS L P   UNIT LTD PARTN 664785102     153,854       4,300       X     28-5284       3300      1000
                                                              314,864       8,800       X   X 28-5284       8700       100

  NORTHERN TR CORP               COM            665859104   1,996,711      45,318       X     28-5284      44735                 583
                                                            3,213,957      72,945       X   X 28-5284      59670               13275
                                                                8,988         204       X   X 28-1500        204

  NORTHFIELD LABS INC            COM            666135108       1,003         250       X   X 28-1500        250

  NORTHROP GRUMMAN CORP          COM            666807102     197,000       1,576       X     28-5284       1576
                                                              384,625       3,077       X   X 28-5284       2606       471

  NORTHWEST BANCORP INC PA       COM            667328108          26           2       X     28-5284          2
                                                               13,210       1,000       X   X 28-5284       1000

  NORTHWEST NAT GAS CO           COM            667655104     138,920       4,832       X     28-5284       4832
                                                              142,313       4,950       X   X 28-5284       2250      2700
0                COLUMN TOTAL                              11,149,567
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   134 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NORTHWESTERN CORP              COM            668074107      30,510       1,800       X     28-5284       1800

  NORWOOD FINANCIAL CORP         COM            669549107     111,780       3,888       X     28-5284       3888

  NOVARTIS A G                   SPONSORED ADR  66987V109     351,999       8,031       X     28-5284       6205                1826
                                                              103,001       2,350       X   X 28-5284                  200      2150
                                                               18,409         420       X   X 28-1500        420

  NOVELL INC                     COM            670006105      75,570      23,542       X     28-5284      23542
                                                                9,229       2,875       X   X 28-5284       2875

  NOVELLUS SYS INC               COM            670008101      41,412       1,218       X     28-5284       1218
                                                               45,084       1,326       X   X 28-5284       1284                  42

  NOVO-NORDISK A S               ADR            670100205     529,361      16,090       X     28-5284      16090
                                                              748,475      22,750       X   X 28-5284      13000      9750

  NSTOR TECHNOLOGIES INC         COM            67018N108       3,680      16,000       X     28-5284      16000

  NSTAR                          COM            67019E107      48,945       1,093       X     28-5284       1093
                                                                6,941         155       X   X 28-5284                  155

  NUCOR CORP                     COM            670346105     531,507       8,172       X     28-5284       6972                1200
                                                              299,184       4,600       X   X 28-5284       4200       400

  NUMERICAL TECHNOLOGIES INC     COM            67053T101       6,792       1,700       X     28-5284       1700

  NUVEEN PREM INCOME MUN FD 4    COM            6706K4105      24,851       1,834       X     28-5284       1834
                                                               63,224       4,666       X   X 28-5284       4666

  NUVEEN CONN PREM INCOME MUN    SH BEN INT     67060D107      16,700       1,000       X     28-5284       1000

  NUVEEN PA PREM INCOME MUN FD   COM            67061F101     421,101      28,472       X     28-5284      26079      2393
                                                              219,424      14,836       X   X 28-5284      12057      2779
                                                              539,835      36,500       X     28-4580      36500

  NUVEEN MD PREM INCOME MUN FD   COM            67061Q107      64,200       4,000       X   X 28-5284       4000

  NUVEEN INVT QUALITY MUN FD I   COM            67062E103     353,793      23,430       X     28-5284      23430
                                                               93,273       6,177       X   X 28-5284       2655      3522
                                                               61,306       4,060       X   X 28-1500       4060

  NUVEEN SELECT TAX FREE INCM    SH BEN INT     67062F100       1,440         100       X     28-5284        100
0                COLUMN TOTAL                               4,821,026
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   135 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NUVEEN MUN ADVANTAGE FD INC    COM            67062H106      55,967       3,704       X     28-5284       3704
                                                              140,523       9,300       X   X 28-5284       9300

  NUVEEN MUN INCOME FD INC       COM            67062J102     134,290      13,000       X     28-5284      10500                2500
                                                              128,815      12,470       X   X 28-5284       7970      4500

  NUVEEN INSD QUALITY MUN FD I   COM            67062N103      21,276       1,350       X     28-5284       1350
                                                               47,280       3,000       X   X 28-5284       3000
                                                               12,608         800       X     28-4580        800

  NUVEEN PERFORMANCE PLUS MUN    COM            67062P108     116,560       7,897       X     28-5284       7897
                                                                9,889         670       X   X 28-5284        670

  NUVEEN PREM INCOME MUN FD      COM            67062T100      80,881       5,578       X     28-5284       5578
                                                               18,024       1,243       X   X 28-5284                  202      1041

  NUVEEN MUN MKT OPPORTUNITY F   COM            67062W103     141,346       9,668       X     28-5284       9668
                                                               22,208       1,519       X   X 28-5284       1219       300

  NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063C106       7,055         500       X     28-5284        500

  NUVEEN PREM INCOME MUN FD 2    COM            67063W102      42,659       2,900       X     28-5284       2900
                                                               49,014       3,332       X   X 28-5284       3332
                                                               23,301       1,584       X   X 28-1500       1584

  NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063X100      21,348       1,586       X   X 28-5284       1586

  NUWAVE TECHNOLOGIES INC        COM            67065M102      63,190     197,470       X   X 28-5284                         197470

  NVIDIA CORP                    COM            67066G104       5,154         300       X     28-5284        300
                                                               24,052       1,400       X   X 28-5284                           1400
                                                                3,436         200       X     28-1500                  200

  NUVEEN DIVID ADVANTAGE MUN F   COM            67066V101       1,507         100       X   X 28-5284        100

  NUVEEN SR INCOME FD            COM            67067Y104      11,284       1,475       X     28-5284       1475
                                                               28,305       3,700       X   X 28-5284       3700

  NUVEEN PA DIV ADVANTAGE MUN    COM            67070E103      52,115       3,500       X   X 28-5284                 3500

  NUVEEN PA DIVID ADVANTAGE MU   COM            67071W102       7,370         500       X   X 28-5284        500

  NYFIX INC                      COM            670712108       3,400         400       X   X 28-5284                  400
0                COLUMN TOTAL                               1,272,857
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   136 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  OGE ENERGY CORP                COM            670837103      46,886       2,051       X     28-5284       1051      1000
                                                              100,584       4,400       X   X 28-5284       4400

  OM GROUP INC                   COM            670872100      12,400         200       X     28-5284                            200

  NUVEEN MUN VALUE FD INC        COM            670928100     524,197      54,775       X     28-5284      48125                6650
                                                              344,185      35,965       X   X 28-5284      18978      8487      8500
                                                                6,221         650       X     28-4580        650

  NUVEEN FLA INVT QUALITY MUN    COM            670970102      31,660       2,000       X   X 28-5284       2000

  NUVEEN NJ INVT QUALITY MUN F   COM            670971100     129,203       8,489       X     28-5284       8489
                                                               88,748       5,831       X   X 28-5284       5831

  NUVEEN PA INVT QUALITY MUN F   COM            670972108     646,455      42,586       X     28-5284      42586
                                                              726,515      47,860       X   X 28-5284      38211      8760       889

  NUVEEN SELECT QUALITY MUN FD   COM            670973106     135,492       9,236       X     28-5284       9236
                                                              248,290      16,925       X   X 28-5284      16925

  NUVEEN CA SELECT QUALITY MUN   COM            670975101      90,960       6,000       X   X 28-5284                           6000

  NUVEEN QUALITY INCOME MUN FD   COM            670977107     176,273      12,115       X     28-5284      12115
                                                              115,774       7,957       X   X 28-5284       7957

  NUVEEN FLA QUALITY INCOME MU   COM            670978105      31,980       2,000       X   X 28-5284       2000

  NUVEEN OHIO QUALITY INCOME M   COM            670980101      24,180       1,300       X     28-5284       1300

  NUVEEN INSD MUN OPPORTUNITY    COM            670984103     277,211      17,850       X     28-5284       7850               10000

  NUVEEN CALIF QUALITY INCM MU   COM            670985100      95,400       6,000       X   X 28-5284                           6000

  NUVEEN PREMIER INSD MUN INCO   COM            670987106       4,704         300       X   X 28-5284        300

  NUVEEN PREMIER MUN INCOME FD   COM            670988104     106,920       7,200       X     28-5284       7200
                                                               31,363       2,112       X   X 28-5284                 2112

  NUVEEN NJ PREM INCOME MUN FD   COM            67101N106     147,932       9,544       X     28-5284       9544
                                                               89,621       5,782       X   X 28-5284       5157       625

  NUVEEN INSD NY PREM INCOME F   COM            67101R107      57,087       3,683       X   X 28-5284       3683
0                COLUMN TOTAL                               4,290,241
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   137 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  NUVEEN INSD FLA PREM INCOME    COM            67101V108      68,716       4,374       X     28-5284       4374
                                                               33,258       2,117       X   X 28-5284        374                1743

  OSI PHARMACEUTICALS INC        COM            671040103      69,658       2,900       X     28-5284       2900
                                                                7,206         300       X   X 28-1500        300

  OAK HILL FINL INC              COM            671337103      84,604       4,125       X     28-5284       4125

  OAKLEY INC                     COM            673662102       5,220         300       X     28-5284        300

  OCCIDENTAL PETE CORP DEL       COM            674599105     938,537      31,295       X     28-5284      26765       230      4300
                                                              341,256      11,379       X   X 28-5284       6294       760      4325
                                                                  150           5       X     28-1500                    5

  OCEAN ENERGY INC DEL           COM            67481E106      21,670       1,000       X     28-5284       1000
                                                              293,087      13,525       X   X 28-5284        250       500     12775
                                                               10,835         500       X   X 28-1500        500

  OCEANEERING INTL INC           COM            675232102      40,500       1,500       X   X 28-5284       1500

  OCEANFIRST FINL CORP           COM            675234108      18,105         750       X     28-5284        750
                                                               21,726         900       X   X 28-5284                            900

  OCTEL CORP                     COM            675727101         177           7       X     28-5284          7

  ODYSSEY HEALTHCARE INC         COM            67611V101     105,125       2,900       X   X 28-5284       2900

  ODYSSEY RE HLDGS CORP          COM            67612W108       6,956         400       X   X 28-5284                  400

  OFFICEMAX INC                  COM            67622M108      13,547       2,300       X     28-5284       2300
                                                               74,803      12,700       X   X 28-5284                          12700

  OFFICE DEPOT INC               COM            676220106      27,955       1,664       X     28-5284       1664
                                                                2,352         140       X   X 28-1500        140

  OFFICIAL PMTS CORP             COM            676235104       5,980       2,000       X     28-5284                           2000

  OHIO CAS CORP                  COM            677240103     418,690      20,033       X     28-5284      20033
                                                               34,276       1,640       X   X 28-5284       1140                 500
                                                              383,515      18,350       X     28-1500                18350

  OIL SVC HOLDRS TR              DEPOSTRY RCPT  678002106      73,764       1,200       X     28-5284       1200
0                COLUMN TOTAL                               3,101,668
0
0
0




1                                                                                                                   FILE NO. 28-1235
   PAGE   138 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  OLD NATL BANCORP IND           COM            680033107   1,094,070      42,989       X     28-5284      37427                5562
                                                              130,406       5,124       X     28-1500                 5124

  OLD REP INTL CORP              COM            680223104     195,300       6,200       X     28-5284       6200
                                                              326,025      10,350       X   X 28-5284       6000                4350

  OLIN CORP                      COM PAR $1     680665205      70,880       3,200       X     28-5284       3200
                                                              387,647      17,501       X   X 28-5284      13276      4225

  OMNICARE INC                   COM            681904108     159,950       6,091       X     28-5284       6091

  OMNICOM GROUP INC              COM            681919106  30,415,185     664,087       X     28-5284     488713     10757    164617
                                                           13,052,954     284,999       X   X 28-5284     137096    141035      6868
                                                              501,418      10,948       X     28-4580      10568                 380
                                                               37,144         811       X   X 28-4580        666       100        45

  OMEGA HEALTHCARE INVS INC      COM            681936100       4,199         554       X   X 28-5284        554

  OMEGA FINL CORP                COM            682092101      51,297       1,405       X     28-5284       1405
                                                              127,785       3,500       X   X 28-5284       3500

  OMNOVA SOLUTIONS INC           COM            682129101       3,629         432       X     28-5284        432

  ONE PRICE CLOTHING STORES IN   COM NEW        682411202         280         200       X   X 28-1500        200

  ONEIDA LTD                     COM            682505102      11,777         615       X     28-5284        615

  ONEOK INC NEW                  COM            682680103      11,304         515       X     28-5284        515
                                                              219,500      10,000       X   X 28-5284      10000

  ONYX ACCEP CORP                COM            682914106       2,563         625       X     28-5284        625

  ON2 TECHNOLOGIES INC           COM            68338A107          46         200       X     28-5284        200

  ONVIA COM INC                  COM            68338T106      22,800     120,000       X   X 28-5284                         120000

  ONYX PHARMACEUTICALS INC       COM            683399109       8,655       1,500       X     28-5284       1500
                                                                2,885         500       X   X 28-1500        500

  OPEN JT STK CO-VIMPEL COMMUN   SPONSORED ADR  68370R109      15,276         600       X     28-5284        600

  OPENWAVE SYS INC               COM            683718100      32,987       5,880       X     28-5284       2497                3383
                                                               67,320      12,000       X   X 28-5284      12000
0                COLUMN TOTAL                              46,953,282
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   139 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                 
  OPLINK COMMUNICATIONS INC      COM            68375Q106       1,460       2,000       X   X 28-1500       2000

  OPTICARE HEALTH SYS INC        COM            68386P105         640       2,000       X     28-5284       2000

  OPTIMAL ROBOTICS CORP          CL A NEW       68388R208       2,916         400       X     28-5284        400

  ORACLE CORP                    COM            68389X105  43,028,934   4,543,710       X     28-5284    4309628     22367    211715
                                                           20,078,938   2,120,268       X   X 28-5284    1433582    490834    195852
                                                              306,118      32,325       X     28-1500                32325
                                                              797,346      84,197       X     28-4580      81735                2462
                                                              455,507      48,100       X   X 28-4580      14730     32970       400

  OPPENHEIMER MULTI-SECTOR INC   SH BEN INT     683933105     141,120      18,000       X     28-5284                18000
                                                                3,920         500       X   X 28-5284        500
                                                                3,332         425       X   X 28-1500        425

  ORASURE TECHNOLOGIES INC       COM            68554V108         650         100       X     28-5284        100

  ORBITAL ENGINE LTD             SPON ADR NEW   685563306       5,427       4,050       X   X 28-1500       4050

  ORBITAL SCIENCES CORP          COM            685564106      23,910       3,000       X   X 28-5284                           3000

  O REILLY AUTOMOTIVE INC        COM            686091109     198,432       7,200       X     28-5284       7200
                                                                2,756         100       X   X 28-1500        100

  ORIGINAL SIXTEEN TO ONE MINE   COM            686203100           0      66,000       X     28-5284      66000

  ORTHOLOGIC CORP                COM            68750J107      10,065       1,820       X     28-1500                 1820

  ORTHODONTIC CTRS AMER INC      COM            68750P103     161,350       7,000       X   X 28-5284       7000

  ORTHOVITA INC                  COM            68750U102       1,710       1,000       X   X 28-5284       1000

  OSHKOSH TRUCK CORP             COM            688239201      17,733         300       X     28-5284        300
                                                               14,778         250       X   X 28-5284                            250

  OSMONICS INC                   COM            688350107      23,850       1,500       X     28-5284       1500

  OUTBACK STEAKHOUSE INC         COM            689899102       3,510         100       X     28-5284        100
                                                               59,670       1,700       X   X 28-5284                           1700

  OVERLAND DATA INC              COM            690213103       9,888         600       X   X 28-5284        600
0                COLUMN TOTAL                              65,353,960
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   140 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  OVERTURE SVCS INC              COM            69039R100      49,960       2,000       X     28-5284       2000

  OWENS CORNING                  COM            69073F103       3,570       3,000       X     28-5284                           3000
                                                               22,253      18,700       X   X 28-5284      18700

  OWENS ILL INC                  COM NEW        690768403       2,748         200       X     28-5284        200
                                                               34,350       2,500       X   X 28-5284       2500

  OXFORD HEALTH PLANS INC        COM            691471106   5,966,858     128,430       X     28-5284     128330                 100
                                                               60,398       1,300       X   X 28-5284        300                1000

  PG&E CORP                      COM            69331C108     245,755      13,737       X     28-5284      13737
                                                               87,661       4,900       X   X 28-5284       2800                2100
                                                                7,156         400       X     28-4580        400

  P F CHANGS CHINA BISTRO INC    COM            69333Y108      28,278         900       X     28-5284        800                 100
                                                               12,568         400       X   X 28-5284        400

  PICO HLDGS INC                 COM NEW        693366205      11,947         721       X     28-5284        721

  PIMCO COML MTG SECS TR INC     COM            693388100         174          12       X   X 28-1500         12

  PMA CAP CORP                   CL A           693419202   1,257,071      59,436       X     28-5284      59436

  PMC-SIERRA INC                 COM            69344F106      15,713       1,695       X     28-5284       1695
                                                              144,612      15,600       X   X 28-5284       1100               14500
                                                               20,255       2,185       X   X 28-1500       2185

  PMI GROUP INC                  WHEN ISSUED    69344M101      46,986       1,230       X     28-5284       1230
                                                              183,360       4,800       X   X 28-5284       4800

  PNC FINL SVCS GROUP INC        COM            693475105 114,943,958   2,198,622       X     28-5284    2077833     24143     96646
                                                          146,102,786   2,794,621       X   X 28-5284    1394171    579867    820583
                                                              943,131      18,040       X     28-1500                18040
                                                            2,631,827      50,341       X     28-4580      49441                 900
                                                            2,045,089      39,118       X   X 28-4580      37418                1700

  PNC FINL SVCS GROUP INC        PFD C CV $1.60 693475402     139,740       1,644       X     28-5284       1644

  PNC FINL SVCS GROUP INC        PFD CV D $1.80 693475501       2,125          25       X   X 28-5284         25

  PNM RES INC                    COM            69349H107       7,260         300       X     28-5284                            300
0                COLUMN TOTAL                             275,017,589
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   141 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PPG INDS INC                   COM            693506107  70,394,970   1,137,237       X     28-5284    1100991      8100     28146
                                                           44,035,908     711,404       X   X 28-5284     440702    220207     50495
                                                              371,400       6,000       X     28-4580       6000
                                                            1,187,056      19,177       X   X 28-4580      19177

  PPL CORP                       COM            69351T106   9,932,336     300,252       X     28-5284     268332     26143      5777
                                                           12,770,600     386,052       X   X 28-5284     236723    142627      6702
                                                              263,251       7,958       X     28-4580       7958
                                                               19,848         600       X   X 28-4580        600

  PS BUSINESS PKS INC CALIF      COM            69360J107      13,980         400       X   X 28-5284        400

  PSS WORLD MED INC              COM            69366A100      27,540       3,400       X     28-5284       3400
                                                               38,070       4,700       X   X 28-5284                           4700

  PAC-WEST TELECOM INC           COM            69371Y101         836       1,900       X     28-5284       1900
                                                                   44         100       X   X 28-5284        100

  PACCAR INC                     COM            693718108      77,239       1,740       X     28-5284       1740
                                                              139,829       3,150       X   X 28-5284       3150

  PACHOLDER HIGH YIELD FD INC    COM            693742108      13,470       1,665       X   X 28-5284       1665

  PACIFIC AMERN INCOME SHS INC   COM            693796104     126,248       8,600       X     28-5284       8600

  PACIFIC CENTY CYBERWORKS LTD   SPONSORED ADR  694059106       9,034       4,051       X     28-5284       2772                1279
                                                                1,115         500       X   X 28-1500        500

  PACIFICARE HEALTH SYS DEL      COM            695112102       2,720         100       X     28-5284        100
                                                              176,800       6,500       X   X 28-5284                  100      6400

  PACTIV CORP                    COM            695257105      56,477       2,373       X     28-5284       2373
                                                              166,481       6,995       X   X 28-5284       5494      1501

  PAIN THERAPEUTICS INC          COM            69562K100       1,672         200       X     28-5284                            200

  PALL CORP                      COM            696429307      45,650       2,200       X     28-5284       2200
                                                              132,800       6,400       X   X 28-5284       6400
0                COLUMN TOTAL                             140,005,374
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   142 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PALM INC                       COM            696642107      32,718      18,590       X     28-5284      16220        74      2296
                                                               33,340      18,943       X   X 28-5284      17395       148      1400
                                                               30,851      17,529       X   X 28-1500      17529
                                                                  625         355       X     28-4580        355
                                                                  176         100       X   X 28-4580        100

  PALOMAR MED TECHNOLOGIES INC   COM NEW        697529303         713         758       X     28-5284        758

  PAMRAPO BANCORP INC            COM            697738102     296,600      20,000       X   X 28-5284      20000

  PAN AMERICAN SILVER CORP       COM            697900108       7,470       1,000       X   X 28-5284       1000

  PAN PACIFIC RETAIL PPTYS INC   COM            69806L104      34,180       1,000       X   X 28-5284       1000

  PANERA BREAD CO                CL A           69840W108      13,788         400       X     28-5284        400
                                                               13,788         400       X   X 28-1500        400

  PAPA JOHNS INTL INC            COM            698813102      28,782         862       X     28-5284        512                 350

  PARADIGM MED INDS INC DEL      COM            69900Q108      22,400      28,000       X     28-5284      28000

  PARADIGM GENETICS INC          COM            69900R106         528         380       X   X 28-5284                  380

  PARAMETRIC TECHNOLOGY CORP     COM            699173100       4,466       1,302       X     28-5284       1302
                                                                8,232       2,400       X   X 28-5284       1200                1200

  PAREXEL INTL CORP              COM            699462107      11,128         800       X     28-5284        800

  PARK NATL CORP                 COM            700658107       1,806          21       X   X 28-5284                   21

  PARK PL ENTMT CORP             COM            700690100      44,075       4,300       X     28-5284       4200       100
                                                               57,113       5,572       X   X 28-5284       1672       200      3700

  PARKER DRILLING CO             NOTE  5.500% 8 701081AD3  33,468,750     350,000       X     28-5284     350000

  PARKER DRILLING CO             COM            701081101       9,810       3,000       X   X 28-5284       3000

  PARKER HANNIFIN CORP           COM            701094104     185,903       3,890       X     28-5284       3890
                                                            1,608,038      33,648       X   X 28-5284      13025      8050     12573

  PARKVALE FINL CORP             COM            701492100      84,030       2,934       X     28-5284       2934
                                                               27,265         952       X   X 28-5284                  952
0                COLUMN TOTAL                              36,026,575
0
0
0





1                                                                                                                   FILE NO. 28-1235
   PAGE   143 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PARKWAY PPTYS INC              COM            70159Q104     309,230       8,500       X     28-5284                           8500

  PARLEX CORP                    COM            701630105      24,200       2,000       X     28-5284       2000

  PARTY CITY CORP                COM            702145103      40,750       2,500       X   X 28-5284       2500

  PATHMARK STORES INC NEW        COM            70322A101      18,810       1,000       X   X 28-5284       1000

  PATHMARK STORES INC NEW        *W EXP 09/10/2 70322A119           5           1       X   X 28-5284          1

  PATRIOT BANK CORP PA           COM            70335P103      11,364         810       X     28-5284        810

  PATRIOT TRANSN HLDG INC        COM            70337B102       2,600         100       X   X 28-5284        100

  PATTERSON DENTAL CO            COM            703412106      10,066         200       X     28-5284        200
                                                            1,517,450      30,150       X   X 28-5284      30150

  PATTERSON UTI ENERGY INC       COM            703481101      36,699       1,300       X     28-5284       1300
                                                               84,690       3,000       X   X 28-5284                           3000
                                                               38,534       1,365       X   X 28-1500       1365

  PAXSON COMMUNICATIONS CORP     COM            704231109      82,500      15,000       X   X 28-5284                          15000

  PAYCHEX INC                    COM            704326107  37,254,375   1,190,616       X     28-5284    1128449     12440     49727
                                                           30,353,772     970,079       X   X 28-5284     847013    108171     14895
                                                              759,565      24,275       X     28-4580      24025                 250
                                                              240,745       7,694       X   X 28-4580       2524      5170

  PAYLESS SHOESOURCE INC         COM            704379106     175,371       3,042       X     28-5284       3042
                                                              289,345       5,019       X   X 28-5284       4575                 444

  PEAPACK-GLADSTONE FINL CORP    COM            704699107      12,240         200       X     28-5284        200
                                                              201,960       3,300       X   X 28-5284       3300

  PEARSON PLC                    SPONSORED ADR  705015105       6,234         600       X     28-5284                            600
                                                                  987          95       X   X 28-1500         95

  PEC SOLUTIONS INC              COM            705107100      62,192       2,600       X     28-5284       2600
                                                               35,880       1,500       X   X 28-5284       1500

  PEGASYSTEMS INC                COM            705573103       1,804         200       X   X 28-1500        200

  PELICAN FINL INC               COM            705808103      28,950       3,000       X     28-5284                           3000
0                COLUMN TOTAL                              71,600,318
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   144 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PEGASUS COMMUNICATIONS CORP    CL A           705904100         548         750       X     28-5284        750
                                                               56,210      77,000       X   X 28-5284                77000

  PENN ENGR & MFG CORP           CL A           707389102   9,075,921     548,394       X   X 28-5284               548394

  PENN ENGR & MFG CORP           COM NON VTG    707389300  16,477,264     945,882       X   X 28-5284               945182       700

  PENN NATL GAMING INC           COM            707569109       7,260         400       X     28-5284        400

  PENN TREATY AMERN CORP         COM            707874103      14,850       3,300       X     28-5284       3300

  PENN VA CORP                   COM            707882106     125,983       3,232       X     28-5284       2432       800
                                                               85,756       2,200       X   X 28-5284        200                2000

  PENN VA RESOURCES PARTNERS L   COM            707884102      20,250       1,000       X   X 28-5284                 1000

  PENNEY J C INC                 COM            708160106     766,252      34,798       X     28-5284      31998      1000      1800
                                                            1,022,983      46,457       X   X 28-5284      23228     12335     10894
                                                               58,133       2,640       X     28-4580       2640
                                                               64,409       2,925       X   X 28-4580       2925

  PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107     903,875      33,341       X     28-5284      33341
                                                            2,194,338      80,942       X   X 28-5284       7592     71350      2000

  PENNZOIL-QUAKER STATE COMPAN   COM            709323109     198,550       9,222       X     28-5284       9222
                                                              127,953       5,943       X   X 28-5284        943                5000

  PENTAIR INC                    COM            709631105     125,008       2,600       X   X 28-5284                 1400      1200

  PENTON MEDIA INC               COM            709668107      27,748      12,906       X   X 28-5284        906               12000

  PEOPLES BANCORP INC            COM            709789101      39,973       1,345       X     28-5284       1345

  PEOPLES BK BRIDGEPORT CONN     COM            710198102      71,803       2,750       X     28-5284       2750
                                                                1,306          50       X   X 28-5284         50

  PEOPLES BK N C                 COM            710577107     254,600      15,200       X     28-1500      15200

  PEOPLES ENERGY CORP            COM            711030106     153,132       4,200       X     28-5284       2700                1500
                                                              236,188       6,478       X   X 28-5284       5612       666       200

  PEOPLES HLDG CO                COM            711148106      28,577         697       X     28-5284                            697
                                                              127,797       3,117       X   X 28-1500       3117
0                COLUMN TOTAL                              32,266,667
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   145 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PEOPLESOFT INC                 COM            712713106      57,586       3,870       X     28-5284       3670                 200
                                                              162,936      10,950       X   X 28-5284       1800                9150
                                                               10,416         700       X     28-1500                  700

  PEP BOYS MANNY MOE & JACK      COM            713278109       9,689         575       X     28-5284        575
                                                              107,840       6,400       X   X 28-5284                           6400

  PEPSI BOTTLING GROUP INC       COM            713409100     136,752       4,440       X     28-5284       3240                1200
                                                              445,614      14,468       X   X 28-5284       6900      6300      1268
                                                                6,160         200       X   X 28-1500        200

  PEPSIAMERICAS INC              COM            71343P200      87,175       5,835       X     28-5284       5785        50
                                                              185,943      12,446       X   X 28-5284       2200       246     10000

  PEPSICO INC                    COM            713448108 191,390,584   3,970,759       X     28-5284    3392968     32863    544928
                                                           96,623,311   2,004,633       X   X 28-5284    1127811    550845    325977
                                                              860,563      17,854       X     28-1500                17854
                                                            3,708,990      76,950       X     28-4580      76332                 618
                                                              800,554      16,609       X   X 28-4580      12777       690      3142

  PER-SE TECHNOLOGIES INC        COM NEW        713569309         984         107       X     28-5284                            107

  PEREGRINE SYSTEMS INC          COM            71366Q101         131         438       X     28-5284        438
                                                                    2           6       X   X 28-5284          6

  PERFORMANCE FOOD GROUP CO      COM            713755106      40,632       1,200       X     28-5284                           1200
                                                               33,860       1,000       X   X 28-1500       1000

  PERKINELMER INC                COM            714046109     305,798      27,674       X     28-5284      26558                1116
                                                              246,415      22,300       X   X 28-5284      22300
                                                                1,105         100       X   X 28-1500        100

  PERMIAN BASIN RTY TR           UNIT BEN INT   714236106      35,815       6,796       X     28-5284       6796
                                                                2,234         424       X   X 28-5284                  424

  PEROT SYS CORP                 CL A           714265105       1,416         130       X   X 28-5284        130

  PETRO-CDA                      COM            71644E102      42,405       1,500       X   X 28-5284       1500

  PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V101      53,070       3,050       X     28-5284       3050

  PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408       7,544         400       X   X 28-5284                  400
0                COLUMN TOTAL                             295,365,524
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   146 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PETROLEUM & RES CORP           COM            716549100     226,675       9,955       X     28-5284       9955
                                                               34,451       1,513       X   X 28-5284                           1513

  PETROLEUM GEO-SVCS A/S         SPONSORED ADR  716597109       4,680       1,300       X     28-5284       1300

  PETROQUEST ENERGY INC          COM            716748108      17,874       3,209       X   X 28-1500       3209

  PETSMART INC                   COM            716768106       8,020         500       X     28-5284        500
                                                              237,392      14,800       X   X 28-5284       9000                5800

  PFIZER INC                     COM            717081103 317,845,535   9,081,301       X     28-5284    7977194     96102   1008005
                                                          235,886,280   6,739,608       X   X 28-5284    3765873   2368689    605046
                                                            1,750,385      50,011       X     28-1500                50011
                                                            9,545,410     272,726       X     28-4580     270674                2052
                                                            5,301,835     151,481       X   X 28-4580     145719      4190      1572

  PFSWEB INC                     COM            717098107          41          81       X   X 28-1500         81

  PHARMACEUTICAL HLDRS TR        DEPOSITRY RCPT 71712A206     116,025       1,500       X     28-5284       1500

  PHARMACEUTICAL PROD DEV INC    COM            717124101      28,974       1,100       X     28-5284       1100
                                                               39,510       1,500       X   X 28-5284       1500

  PHARMACEUTICAL RES INC         COM            717125108      66,672       2,400       X     28-5284       2400

  PHARMACOPEIA INC               COM            71713B104       4,260         500       X     28-5284        500

  PHARMACIA CORP                 COM            71713U102  28,014,772     748,058       X     28-5284     674304     11990     61764
                                                           25,552,023     682,297       X   X 28-5284     445469    149394     87434
                                                              200,208       5,346       X   X 28-1500       5346
                                                              675,598      18,040       X     28-4580      18040
                                                              421,350      11,251       X   X 28-4580      11251

  PHELPS DODGE CORP              COM            717265102     213,416       5,180       X     28-5284       5180
                                                              639,754      15,528       X   X 28-5284      11618       683      3227
                                                                  412          10       X   X 28-1500         10

  PHILADELPHIA CONS HLDG CORP    COM            717528103     395,818       8,730       X   X 28-5284                           8730
                                                                9,068         200       X   X 28-1500        200

  PHILADELPHIA SUBN CORP         COM PAR $0.50  718009608     541,360      26,800       X     28-5284      22780      4020
                                                            1,491,608      73,842       X   X 28-5284      50196     15314      8332
                                                                6,302         312       X   X 28-1500        312
0                COLUMN TOTAL                             629,275,708
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   147 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PHILIP MORRIS COS INC          COM            718154107  64,010,463   1,465,441       X     28-5284    1235636     22900    206905
                                                          212,576,015   4,866,667       X   X 28-5284    3786051    444693    635923
                                                              666,033      15,248       X     28-1500                15248
                                                            5,344,772     122,362       X     28-4580     107162               15200
                                                            1,381,074      31,618       X   X 28-4580      26418      2100      3100

  PHILIP SVCS CORP DEL           COM            718193105           5          11       X     28-5284         11

  PHILLIPS PETE CO               COM            718507106   3,018,601      51,267       X     28-5284      47277      2490      1500
                                                            3,106,803      52,765       X   X 28-5284      37850      5789      9126
                                                               36,388         618       X     28-4580        618
                                                               17,664         300       X   X 28-4580        300

  PHOENIX COS INC NEW            COM            71902E109     318,464      17,355       X     28-5284      12956                4399
                                                              314,482      17,138       X   X 28-5284       3853               13285

  PHOSPHATE RESOURCE PARTNERS    DEPOSITARY UNT 719217101         128          32       X     28-5284         32
                                                                6,820       1,705       X   X 28-5284        500      1004       201

  PHOTOMEDEX INC                 COM            719358103      19,200      12,000       X     28-5284      12000

  PHOTON DYNAMICS INC            COM            719364101     152,130       5,071       X     28-5284       5071

  PHOTRONICS INC                 COM            719405102      83,336       4,400       X     28-5284       4400

  PIEDMONT NAT GAS INC           COM            720186105     161,603       4,370       X     28-5284       3940                 430
                                                              471,495      12,750       X   X 28-5284      12750
                                                               60,536       1,637       X   X 28-1500       1637

  PIER 1 IMPORTS INC             COM            720279108      37,800       1,800       X   X 28-5284       1800

  PIMCO STRATEGIC GBL GOV FD I   COM            72200X104      80,743       7,015       X     28-5284       7015

  PINNACLE FINL PARTNERS INC     COM            72346Q104      76,310       6,500       X   X 28-1500       6500

  PINNACLE WEST CAP CORP         COM            723484101     114,392       2,896       X   X 28-5284       2135                 761

  PIONEER NAT RES CO             COM            723787107     438,943      16,850       X     28-5284      16850
                                                              174,535       6,700       X   X 28-5284                           6700
0                COLUMN TOTAL                             292,668,735
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   148 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PITNEY BOWES INC               COM            724479100  21,112,570     531,535       X     28-5284     459475      2025     70035
                                                           43,903,032   1,105,313       X   X 28-5284     973688     86500     45125
                                                               40,713       1,025       X   X 28-1500       1025
                                                            1,047,536      26,373       X     28-4580      26373
                                                              641,478      16,150       X   X 28-4580      14350       200      1600

  PITTSTON CO                    COM BRINKS GRP 725701106     252,000      10,500       X   X 28-5284                          10500

  PIVOTAL CORP                   COM            72581R106         770         200       X     28-5284        200

  PIXAR                          COM            725811103      44,100       1,000       X     28-5284       1000
                                                               44,100       1,000       X   X 28-5284       1000

  PLACER DOME INC                COM            725906101      18,508       1,651       X     28-5284       1651
                                                               11,210       1,000       X   X 28-5284                 1000

  PLAINS ALL AMERN PIPELINE L    UNIT LTD PARTN 726503105     141,845       5,500       X   X 28-5284       5000       500
                                                               29,916       1,160       X   X 28-1500       1160

  PLAN VISTA CORP                COM            72701P105      35,500      10,000       X     28-5284      10000

  PLANTRONICS INC NEW            COM            727493108       7,604         400       X     28-5284                            400
                                                               19,010       1,000       X   X 28-5284                           1000

  PLEXUS CORP                    COM            729132100      14,082         778       X     28-5284        778

  PLUG POWER INC                 COM            72919P103       2,373         300       X     28-5284        300
                                                                8,701       1,100       X   X 28-5284       1100

  PLUM CREEK TIMBER CO INC       COM            729251108     698,763      22,761       X     28-5284      21665                1096
                                                            2,709,551      88,259       X   X 28-5284      41672     43254      3333
                                                               12,280         400       X   X 28-1500        400
                                                               61,400       2,000       X   X 28-4580       2000

  POGO PRODUCING CO              COM            730448107     304,997       9,350       X   X 28-5284       3000                6350

  POLARIS INDS INC               COM            731068102      34,125         525       X     28-5284        525
                                                              195,000       3,000       X   X 28-5284       2800                 200

  POLO RALPH LAUREN CORP         CL A           731572103      40,320       1,800       X     28-5284       1800
                                                                4,480         200       X   X 28-1500        200
0                COLUMN TOTAL                              71,435,964
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE   149 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  POLYCOM INC                    COM            73172K104      99,517       8,300       X     28-5284       8300
                                                                3,597         300       X   X 28-5284                  300
                                                                5,995         500       X   X 28-1500        500

  POLYMEDICA CORP                COM            731738100     127,700       5,000       X   X 28-5284       5000

  POLYONE CORP                   COM            73179P106      11,250       1,000       X   X 28-4580       1000

  POMEROY COMPUTER RES           COM            731822102       7,290         500       X     28-5284        500

  POPE & TALBOT INC              COM            732827100       3,746         200       X     28-4580        200

  POST PPTYS INC                 COM            737464107     438,074      14,525       X   X 28-5284      14425       100

  POTASH CORP SASK INC           COM            73755L107      71,569       1,073       X     28-5284       1073
                                                                6,670         100       X   X 28-1500        100

  POTOMAC ELEC PWR CO            COM            737679100     534,852      24,900       X     28-5284      19306       400      5194
                                                              569,327      26,505       X   X 28-5284      18651      7308       546
                                                               12,888         600       X   X 28-4580        600

  POWER INTEGRATIONS INC         COM            739276103      62,647       3,500       X     28-5284       3500

  POWER-ONE INC                  COM            739308104      15,550       2,500       X     28-5284       2500

  POWERWAVE TECHNOLOGIES INC     COM            739363109      19,236       2,100       X     28-5284       2100
                                                               27,480       3,000       X   X 28-5284       3000

  PRACTICEWORKS INC              COM            739419109      97,047       5,260       X   X 28-5284       5260

  PRAXAIR INC                    COM            74005P104     780,489      13,700       X     28-5284       9700                4000
                                                              184,412       3,237       X   X 28-5284       1987       600       650
                                                               17,091         300       X     28-4580        300

  PRE PAID LEGAL SVCS INC        COM            740065107      19,900       1,000       X     28-5284       1000
                                                               31,979       1,607       X   X 28-1500       1607

  PRECISION CASTPARTS CORP       COM            740189105      66,000       2,000       X     28-5284       1000                1000

  PREFERRED INCOME OPPORTUNITY   COM            74037H104       1,219         100       X     28-5284        100

  PRESIDENTIAL LIFE CORP         COM            740884101      30,405       1,500       X     28-5284                           1500
0                COLUMN TOTAL                               3,245,930
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   150 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PRESSTEK INC                   COM            741113104       2,940         735       X     28-5284        735
                                                                  144          36       X   X 28-5284         36

  PRICE T ROWE GROUP INC         COM            74144T108   1,411,538      42,930       X     28-5284      40130                2800
                                                               98,969       3,010       X   X 28-5284        635                2375
                                                              106,696       3,245       X   X 28-1500       3245

  PRICELINE COM INC              COM            741503106       4,185       1,500       X   X 28-5284       1500

  PRIDE INTL INC DEL             COM            74153Q102      15,660       1,000       X   X 28-5284       1000

  PRIMEDIA INC                   COM            74157K101       6,100       5,000       X   X 28-5284                           5000

  PRIMUS TELECOMMUNICATIONS GR   COM            741929103       1,050       1,500       X   X 28-5284                           1500

  PRINCETON NATL BANCORP INC     COM            742282106     247,000      13,000       X     28-1500      13000

  PRINCIPAL FINANCIAL GROUP IN   COM            74251V102     197,811       6,381       X     28-5284       4538                1843
                                                              141,980       4,580       X   X 28-5284       1230                3350

  PROCOM TECHNOLOGY INC          COM            74270W107         530       1,000       X   X 28-5284       1000

  PROCTER & GAMBLE CO            COM            742718109 580,181,743   6,496,996       X     28-5284    5953727     44500    498769
                                                          222,406,919   2,490,559       X   X 28-5284    1877207    467035    146317
                                                           12,929,836     144,791       X     28-1500               144791
                                                            8,734,433      97,810       X     28-4580      97710                 100
                                                            5,341,658      59,817       X   X 28-4580      49575      2770      7472

  PROGENICS PHARMACEUTICALS IN   COM            743187106       1,352         110       X     28-5284        110
                                                               36,870       3,000       X   X 28-5284                 3000
                                                               12,290       1,000       X   X 28-1500       1000

  PROGRESS ENERGY INC            COM            743263105   1,444,942      27,782       X     28-5284      25763                2019
                                                            2,589,994      49,798       X   X 28-5284      19934      7008     22856
                                                                1,716          33       X   X 28-1500         33
                                                               20,804         400       X     28-4580        400

  PROGRESS FINL CORP             COM            743266108     247,244      25,387       X     28-5284                          25387

  PROGRESSIVE CORP OHIO          COM            743315103   3,218,485      55,635       X     28-5284      30535               25100
                                                              634,325      10,965       X   X 28-5284        675       300      9990
                                                                2,603          45       X   X 28-1500         45
0                COLUMN TOTAL                             840,039,817
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   151 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PROLOGIS TR                    SH BEN INT     743410102   1,300,000      50,000       X     28-5284      50000

  PROTECTIVE LIFE CORP           COM            743674103      89,105       2,692       X     28-5284       2692
                                                              122,470       3,700       X   X 28-5284                           3700

  PROTEIN DESIGN LABS INC        COM            74369L103      64,074       5,900       X     28-5284       5900
                                                                1,738         160       X   X 28-5284        160

  PROTON ENERGY SYS INC          COM            74371K101       2,889         900       X   X 28-5284        900

  PROVALIS PLC                   SPONSORED ADR  74372Q107          33         100       X     28-5284        100

  PROVIDENCE & WORCESTER RR CO   COM            743737108       5,796         700       X     28-5284        700

  PROVIDENT ENERGY TR            TR UNIT        74386K104      25,550       3,500       X     28-5284       3500

  PROVIDENT FINL GROUP INC       COM            743866105      95,965       3,308       X     28-5284       1621                1687
                                                              127,644       4,400       X   X 28-5284       4400
                                                               21,554         743       X   X 28-1500        743

  PROVINCE HEALTHCARE CO         COM            743977100       6,708         300       X     28-5284        300

  PROVIDIAN FINL CORP            COM            74406A102   2,775,448     472,015       X     28-5284     301797              170218
                                                            1,623,609     276,124       X   X 28-5284     261424      3500     11200
                                                                9,408       1,600       X     28-1500                 1600

  PROXIM CORP                    CL A           744283102       4,531       1,511       X   X 28-1500       1511

  PRUDENTIAL FINL INC            COM            744320102     961,469      28,821       X     28-5284      21982        58      6781
                                                              463,537      13,895       X   X 28-5284       3895               10000

  PUBLIC SVC ENTERPRISE GROUP    COM            744573106   6,183,153     142,798       X     28-5284     124585     12017      6196
                                                           10,293,449     237,724       X   X 28-5284     135512     91158     11054
                                                               17,320         400       X   X 28-1500        400
                                                              275,215       6,356       X     28-4580       6356
                                                              288,162       6,655       X   X 28-4580       5574      1081

  PUBLIC STORAGE INC             COM            74460D109     152,110       4,100       X     28-5284       4100
                                                               28,048         756       X   X 28-5284        543                 213

  PUBLIC STORAGE INC             COM A DP1/1000 74460D729      13,950         500       X     28-5284        500
                                                              223,674       8,017       X   X 28-5284       8017
                                                                   56           2       X   X 28-1500          2
0                COLUMN TOTAL                              25,176,665
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   152 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  PUGET ENERGY INC NEW           COM            745310102      75,930       3,677       X     28-5284       2177                1500
                                                               93,255       4,516       X   X 28-5284       4016       500
                                                                2,065         100       X   X 28-4580        100

  PURADYN FILTER TECHNOLOGIES    COM            746091107       9,600       3,000       X   X 28-5284                 3000

  PURCHASEPRO COM                COM NEW        746144302          96         200       X   X 28-5284                  200
                                                                   67         140       X   X 28-1500        140

  PUTNAM HIGH INCOME CONV&BD F   SH BEN INT     746779107       9,280       1,450       X   X 28-5284       1450

  PUTNAM HIGH YIELD MUN TR       SH BEN INT     746781103      21,006       2,700       X   X 28-5284       2700

  PUTNAM INVT GRADE MUN TR       COM            746805100      48,182       4,150       X   X 28-5284       2900      1250

  PUTNAM MANAGED HIGH YIELD TR   SH BEN INT     746819101      76,704       9,400       X     28-5284                           9400

  PUTNAM MANAGED MUN INCOM TR    COM            746823103      66,462       8,339       X     28-5284       8339
                                                               20,722       2,600       X   X 28-5284       1000      1600

  PUTNAM MASTER INCOME TR        SH BEN INT     74683K104     166,560      24,000       X     28-5284                24000
                                                               13,880       2,000       X   X 28-5284       2000

  PUTNAM MUN BD FD INC           SH BEN INT     74683V100      12,355         969       X     28-5284        969
                                                                6,375         500       X   X 28-5284        500

  PUTNAM PREMIER INCOME TR       SH BEN INT     746853100      66,462      10,600       X     28-5284      10600
                                                               21,318       3,400       X   X 28-5284       3400

  PUTNAM MASTER INTER INCOME T   SH BEN INT     746909100      34,862       5,569       X     28-5284       5569
                                                                8,983       1,435       X   X 28-5284       1435
                                                               32,953       5,264       X     28-4580       5264

  PUTNAM MUN OPPORTUNITIES TR    SH BEN INT     746922103      21,591       1,666       X   X 28-5284       1666

  QLT INC                        COM            746927102       5,340         400       X     28-5284        400
                                                               13,350       1,000       X   X 28-5284                           1000

  QRS CORP                       COM            74726X105      77,900      10,000       X     28-5284      10000

  QAD INC                        COM            74727D108       2,850       1,000       X   X 28-5284       1000
0                COLUMN TOTAL                                 908,148
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   153 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  QLOGIC CORP                    COM            747277101   2,446,782      64,220       X     28-5284      64220
                                                              275,844       7,240       X   X 28-5284       7240
                                                                8,573         225       X   X 28-1500        225
                                                               19,050         500       X     28-4580        500

  QSOUND LABS INC                COM NEW        74728C307          94         125       X   X 28-5284                            125

  QUAKER CHEM CORP               COM            747316107      98,000       4,000       X     28-5284       4000
                                                               36,750       1,500       X   X 28-5284       1500

  QUALCOMM INC                   COM            747525103   2,420,385      88,046       X     28-5284      84036                4010
                                                            1,851,094      67,337       X   X 28-5284      33312      6225     27800
                                                              109,410       3,980       X     28-1500                 3980
                                                              146,247       5,320       X     28-4580       5320
                                                                3,299         120       X   X 28-4580        120

  QUANTA SVCS INC                COM            74762E102       7,067         716       X     28-5284        716

  QUANTUM CORP                   COM DSSG       747906204      16,800       4,000       X     28-5284       4000
                                                               13,020       3,100       X   X 28-5284        500                2600
                                                                4,473       1,065       X   X 28-1500       1065

  QUEST DIAGNOSTICS INC          COM            74834L100   6,261,686      72,768       X     28-5284      72194       174       400
                                                            1,443,145      16,771       X   X 28-5284      14202      1919       650

  QUEST SOFTWARE INC             COM            74834T103       1,453         100       X     28-5284        100
                                                               15,983       1,100       X   X 28-5284       1100

  QUESTAR CORP                   COM            748356102      46,856       1,897       X     28-5284       1897
                                                              992,446      40,180       X   X 28-5284       1000     39180

  QUIKSILVER INC                 COM            74838C106       9,920         400       X     28-5284        400

  QUINTILES TRANSNATIONAL CORP   COM            748767100       1,249         100       X     28-5284        100

  QUIXOTE CORP                   COM            749056107      18,221       1,075       X   X 28-5284         75                1000

  QWEST COMMUNICATIONS INTL IN   COM            749121109     399,308     142,610       X     28-5284     132064      1241      9305
                                                              418,051     149,304       X   X 28-5284      80015     64425      4864
                                                                2,338         835       X     28-1500                  835
                                                                1,974         705       X     28-4580        365                 340
                                                               41,359      14,771       X   X 28-4580       7509      7262
0                COLUMN TOTAL                              17,110,877
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE   154 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  RCN CORP                       COM            749361101      19,488      14,225       X     28-5284       8725      5500
                                                               14,933      10,900       X   X 28-5284       5900      5000

  RFS HOTEL INVS INC             COM            74955J108      33,850       2,500       X     28-5284       2500

  RGC RES INC                    COM            74955L103      36,380       2,000       X     28-5284       2000

  R H DONNELLEY CORP             COM NEW        74955W307     562,924      20,126       X     28-5284      20126
                                                               47,297       1,691       X   X 28-5284        965       658        68
                                                               21,621         773       X   X 28-4580        773

  R G S ENERGY GROUP INC         COM            74956K104      19,600         500       X     28-5284        500
                                                               92,394       2,357       X   X 28-5284       2357
                                                                7,840         200       X     28-4580                            200

  RPM INC OHIO                   COM            749685103     121,421       7,962       X     28-5284       7962
                                                               29,600       1,941       X   X 28-5284       1941
                                                               12,749         836       X   X 28-1500        836

  RSA SEC INC                    COM            749719100      10,101       2,100       X     28-5284       2100
                                                                3,247         675       X     28-1500                  675

  RF MICRODEVICES INC            COM            749941100      51,435       6,750       X     28-5284       6750
                                                                  610          80       X   X 28-5284         80
                                                                5,182         680       X     28-4580        680

  RADIAN GROUP INC               COM            750236101      72,298       1,480       X     28-5284                           1480
                                                              452,888       9,271       X   X 28-5284       4400                4871
                                                               25,402         520       X   X 28-1500        520

  RADIO ONE INC                  CL A           75040P108     125,503       8,440       X     28-5284       3840                4600

  RADIOSHACK CORP                COM            750438103      97,244       3,235       X     28-5284       3235
                                                              146,392       4,870       X   X 28-5284                 4400       470

  RAG SHOPS INC                  COM            750624108       1,742         315       X     28-5284        315

  RAILAMERICA INC                COM            750753105       5,410         500       X     28-5284                            500

  RAINDANCE COMM                 COM            75086X106      11,500       2,000       X     28-5284       2000
                                                               12,075       2,100       X   X 28-5284       2000                 100

  RAINBOW TECHNOLOGIES INC       COM            750862104       4,428         900       X   X 28-5284        900
0                COLUMN TOTAL                               2,045,554
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   155 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  RAMBUS INC DEL                 COM            750917106         470         115       X     28-5284        115
                                                               20,859       5,100       X   X 28-5284        800                4300
                                                                2,045         500       X   X 28-1500        500

  RALCORP HLDGS INC NEW          COM            751028101      46,031       1,473       X   X 28-5284       1333       140

  RALSTON PURINA CO              COM-R.P. GROUP 751277104           0           1       X     28-5284          1

  RANK GROUP PLC                 SPONSORED ADR  753037100       3,975         500       X     28-5284        500

  RARE MEDIUM GROUP INC          COM            75382N109       2,070      11,500       X   X 28-5284                11500

  RATIONAL SOFTWARE CORP         COM NEW        75409P202      16,420       2,000       X   X 28-5284                           2000
                                                                3,284         400       X   X 28-1500        400

  RAYMOND JAMES FINANCIAL INC    COM            754730109      42,705       1,500       X     28-5284       1500
                                                               14,235         500       X   X 28-5284                            500

  RAYONIER INC                   COM            754907103      19,849         404       X     28-5284        404
                                                               14,100         287       X   X 28-5284        216        21        50
                                                                6,976         142       X   X 28-4580                  142

  RAYOVAC CORP                   COM            755081106      18,067         975       X   X 28-1500        975

  RAYTECH CORP DEL               COM            755103108       1,312         145       X     28-5284        145

  RAYTHEON CO                    COM NEW        755111507  13,878,961     340,588       X     28-5284     301538      1830     37220
                                                           23,007,654     564,605       X   X 28-5284     157345    399613      7647
                                                              250,613       6,150       X   X 28-1500       6150
                                                              262,919       6,452       X     28-4580       6052                 400
                                                               52,731       1,294       X   X 28-4580       1178       116

  RAZORFISH INC                  CL A           755236106         240       1,500       X   X 28-1500       1500

  READ-RITE CORP                 COM            755246105          48         100       X     28-5284        100

  READERS DIGEST ASSN INC        CL A NON VTG   755267101      22,476       1,200       X     28-5284       1200
                                                                  562          30       X   X 28-5284         30

  REALNETWORKS INC               COM            75605L104      14,449       3,550       X     28-5284       3350                 200
                                                               12,373       3,040       X   X 28-5284         40                3000
0                COLUMN TOTAL                              37,715,424
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   156 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  REALTY INCOME CORP             COM            756109104       6,276         170       X     28-5284        170
                                                                7,384         200       X   X 28-5284                  200

  RECKSON ASSOCS RLTY CORP       PFD CV SER A%  75621K205      23,950       1,000       X     28-5284       1000

  RED HAT INC                    COM            756577102      85,643      14,590       X     28-5284      14590
                                                                3,170         540       X   X 28-5284        540

  REDBACK NETWORKS INC           COM            757209101       9,666       5,400       X     28-5284       5400

  REDWOOD TR INC                 COM            758075402      63,000       2,000       X   X 28-5284       2000

  REEBOK INTL LTD                COM            758110100     233,050       7,900       X     28-5284       7900

  REGENCY CTRS CORP              COM            758849103      20,755         700       X   X 28-5284        700

  REGENERON PHARMACEUTICALS      COM            75886F107      72,550       5,000       X   X 28-5284                 5000

  REGENT COMMUNICATIONS INC DE   COM            758865109         988         140       X   X 28-1500        140

  REGIONS FINL CORP              COM            758940100     105,169       2,992       X     28-5284       2992
                                                               10,194         290       X   X 28-5284        290

  RELIANT ENERGY INC             COM            75952J108     251,489      14,881       X     28-5284      14381                 500
                                                            1,157,092      68,467       X   X 28-5284      54137     14105       225
                                                              130,553       7,725       X     28-4580       7725
                                                              139,003       8,225       X   X 28-4580       8225

  RELM WIRELESS CORP             COM            759525108           1           1       X     28-5284          1

  RENAISSANCE LEARNING INC       COM            75968L105      22,242       1,100       X   X 28-5284        600                 500

  REPLIGEN CORP                  COM            759916109       4,520       2,000       X   X 28-5284                           2000

  RENAL CARE GROUP INC           COM            759930100      93,450       3,000       X     28-5284       3000
                                                               62,300       2,000       X   X 28-5284       2000

  RENT WAY INC                   COM            76009U104     159,285      12,300       X     28-5284      12300

  REPSOL YPF S A                 SPONSORED ADR  76026T205      34,875       2,948       X     28-5284       2948

  REPUBLIC BANCORP KY            CL A           760281204      26,528       2,250       X     28-5284       2250
0                COLUMN TOTAL                               2,723,133
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   157 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  REPUBLIC SVCS INC              COM            760759100      87,245       4,575       X   X 28-5284        150                4425

  RES-CARE INC                   COM            760943100     944,654     142,697       X     28-5284     142697
                                                                4,965         750       X   X 28-5284        750
                                                                6,620       1,000       X     28-1500                 1000

  RESEARCH IN MOTION LTD         COM            760975102       2,276         200       X   X 28-1500        200

  RESTORATION HARDWARE INC DEL   COM            760981100      46,020       5,200       X   X 28-5284                           5200

  RESMED INC                     COM            761152107      88,200       3,000       X     28-5284       3000

  RESOURCE AMERICA INC           CL A           761195205      31,430       2,982       X   X 28-5284       2982

  RESOURCES BANKSHARES CORP      COM            76121R104      10,145         500       X     28-5284        500

  RESPIRONICS INC                COM            761230101     520,965      15,300       X     28-5284      15300
                                                              517,560      15,200       X   X 28-5284                 8000      7200

  RETAIL HOLDRS TR               DEP RCPT       76127U101      17,760         200       X     28-5284                  200

  RETEK INC                      COM            76128Q109     250,290      10,300       X     28-5284      10300

  REUTERS GROUP PLC              SPONSORED ADR  76132M102     736,137      22,855       X     28-5284      11729               11126
                                                              181,916       5,648       X   X 28-5284       2562       890      2196
                                                               17,522         544       X   X 28-1500        544
                                                              184,235       5,720       X     28-4580        520                5200
                                                                3,221         100       X   X 28-4580        100

  REYNOLDS & REYNOLDS CO         CL A           761695105   1,152,938      41,250       X     28-5284      40950                 300
                                                              704,340      25,200       X   X 28-5284      25200

  REYNOLDS R J TOB HLDGS INC     COM            76182K105     159,046       2,959       X     28-5284       2535                 424
                                                              143,996       2,679       X   X 28-5284       2570       109

  RIBAPHARM INC                  COM            762537108      30,906       3,400       X   X 28-5284                           3400

  RIBOZYME PHARMACEUTICALS INC   COM            762567105         414         300       X     28-5284        300
                                                                2,760       2,000       X   X 28-5284       2000

  RICHARDSON ELECTRS LTD         SDCV  7.250%12 763165AB3   4,015,575      48,600       X     28-5284      48600
                                                              578,375       7,000       X   X 28-5284                 7000
0                COLUMN TOTAL                              10,439,511
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   158 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  RICHARDSON ELECTRS LTD         SDCV  8.250% 6 763165AC1  21,601,050     236,400       X     28-5284     236400
                                                            3,015,375      33,000       X   X 28-5284                33000

  RIGGS NATL CORP WASH DC        COM            766570105      74,550       5,000       X     28-5284       5000

  RIO TINTO PLC                  SPONSORED ADR  767204100      37,000         500       X   X 28-5284        500

  RITE AID CORP                  COM            767754104     126,646      53,892       X     28-5284      53892
                                                               57,575      24,500       X   X 28-5284       1900      8600     14000
                                                                3,760       1,600       X     28-4580       1600

  RIVERSTONE NETWORKS INC        COM            769320102      43,369      13,856       X     28-5284      13600                 256
                                                                8,989       2,872       X   X 28-5284                  820      2052

  ROADWAY CORP                   COM            769742107     107,538       2,993       X     28-5284       2993

  ROANOKE ELEC STL CORP          COM            769841107      36,670       2,375       X     28-5284       2375

  ROBERT HALF INTL INC           COM            770323103      60,487       2,596       X     28-5284       2596
                                                              118,830       5,100       X   X 28-5284                           5100

  ROBOTIC VISION SYS INC         COM            771074101     138,000     150,000       X     28-5284     150000
                                                               55,200      60,000       X   X 28-5284      60000

  ROCK-TENN CO                   CL A           772739207      11,928         650       X     28-5284        650

  ROCKFORD CORP                  COM            77316P101       5,994         600       X     28-5284        600

  ROCKWELL AUTOMATION INC        COM            773903109     457,162      22,881       X     28-5284      21225                1656
                                                            1,189,569      59,538       X   X 28-5284      33087     13141     13310
                                                                  400          20       X   X 28-1500         20
                                                                1,119          56       X     28-4580         56

  ROCKWELL COLLINS INC           COM            774341101     966,829      35,260       X     28-5284      24604               10656
                                                            1,910,626      69,680       X   X 28-5284      37725     14645     17310
                                                                  548          20       X   X 28-1500         20
                                                                1,536          56       X     28-4580         56

  ROGERS COMMUNICATIONS INC      CL B           775109200       5,886         644       X   X 28-5284                            644

  ROGUE WAVE SOFTWARE INC        COM            775369101       2,700       1,000       X     28-5284       1000
0                COLUMN TOTAL                              30,039,336
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   159 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  ROHM & HAAS CO                 COM            775371107   1,371,234      33,866       X     28-5284      33866
                                                            4,392,112     108,474       X   X 28-5284      22069     84030      2375
                                                               12,147         300       X     28-4580        300
                                                              129,730       3,204       X   X 28-4580       3204

  ROHN INDS INC                  COM            775381106      14,094      54,000       X     28-5284      54000

  ROLLINS INC                    COM            775711104     233,910      11,500       X   X 28-5284                 1500     10000

  ROPER INDS INC NEW             COM            776696106   4,408,972     118,203       X     28-5284     118203

  ROSLYN BANCORP INC             COM            778162107      16,765         768       X     28-5284        768
                                                              218,300      10,000       X   X 28-5284      10000

  ROSS STORES INC                COM            778296103      97,800       2,400       X     28-5284       1800                 600
                                                              203,750       5,000       X   X 28-5284       5000

  ROWAN COS INC                  COM            779382100     181,081       8,442       X     28-5284       8442
                                                               83,012       3,870       X   X 28-5284         70                3800

  ROYAL GROUP TECHNOLOGIES LTD   SUB VTG SH     779915107      98,512       4,700       X   X 28-5284                           4700

  ROXIO INC                      COM            780008108          43           6       X     28-5284          6
                                                               11,484       1,595       X   X 28-5284       1595
                                                                   36           5       X     28-1500                    5

  ROYAL BANCSHARES PA INC        CL A           780081105       4,667         218       X   X 28-5284        218
                                                              735,305      34,344       X     28-1500      34344

  ROYAL BK CDA MONTREAL QUE      COM            780087102      41,760       1,200       X     28-5284                           1200
                                                               13,920         400       X   X 28-5284                  400
                                                               35,148       1,010       X   X 28-1500       1010

  ROYAL DUTCH PETE CO            NY REG GLD1.25 780257804  60,176,705   1,088,777       X     28-5284     921692     16172    150913
                                                           82,575,259   1,494,034       X   X 28-5284    1069249    254079    170706
                                                              154,203       2,790       X   X 28-1500       2790
                                                            1,410,325      25,517       X     28-4580      25367                 150
                                                              593,489      10,738       X   X 28-4580       6728      3650       360

  ROYAL GOLD INC                 COM            780287108      40,980       3,000       X   X 28-1500       3000

  ROYCE VALUE TR INC             COM            780910105     110,372       6,669       X     28-5284       6669
                                                               27,870       1,684       X   X 28-1500       1684
0                COLUMN TOTAL                             157,392,985
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   160 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  ROYCE MICRO-CAP TR INC         COM            780915104      11,960       1,024       X     28-5284       1024

  RUBY TUESDAY INC               COM            781182100     491,829      25,352       X   X 28-5284      11600     13752

  RUSHMORE FINL GROUP INC        COM            782055107         880       6,287       X     28-5284       6287

  RUSSELL CORP                   COM            782352108       8,393         436       X   X 28-5284                            436

  RYANS FAMILY STEAK HOUSE INC   COM            783519101      63,408       4,800       X   X 28-5284                           4800

  RYDER SYS INC                  COM            783549108      39,281       1,450       X     28-5284       1450

  RYLAND GROUP INC               COM            783764103      24,875         500       X   X 28-5284        500
                                                               42,288         850       X   X 28-1500        850

  S & T BANCORP INC              COM            783859101     461,025      17,075       X     28-5284      16000                1075
                                                            3,245,400     120,200       X   X 28-5284     120200

  SBC COMMUNICATIONS INC         COM            78387G103  98,359,664   3,224,907       X     28-5284    2905273     63975    255659
                                                           58,746,508   1,926,115       X   X 28-5284    1169329    611989    144797
                                                              793,275      26,009       X     28-1500                26009
                                                            5,198,603     170,446       X     28-4580     130388               40058
                                                            2,434,266      79,812       X   X 28-4580      74060      3319      2433

  SBS TECHNOLOGIES INC           COM            78387P103       6,125         500       X   X 28-5284                            500

  SBA COMMUNICATIONS CORP        COM            78388J106     220,313     156,250       X     28-5284     156250
                                                                2,820       2,000       X   X 28-5284                 2000

  SCP POOL CORP                  COM            784028102   1,264,107      45,537       X   X 28-5284                          45537

  SEI INVESTMENTS CO             COM            784117103      19,719         700       X     28-5284        700
                                                               84,510       3,000       X   X 28-5284        300                2700
                                                               11,831         420       X   X 28-1500        420
                                                               59,157       2,100       X   X 28-4580                 2100

  SFBC INTL INC                  COM            784121105      12,578         750       X   X 28-5284                            750

  SL GREEN RLTY CORP             COM            78440X101     204,809       5,745       X   X 28-5284                           5745

  SLM CORP                       COM            78442P106     487,116       5,027       X     28-5284       5027
                                                              513,086       5,295       X   X 28-5284       4370                 925
                                                                2,907          30       X   X 28-1500         30
0                COLUMN TOTAL                             172,810,733
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   161 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SLI INC                        COM            78442T108         200         500       X   X 28-5284        500

  SPDR TR                        UNIT SER 1     78462F103 118,395,645   1,196,399       X     28-5284    1178701      1228     16470
                                                           52,053,752     526,008       X   X 28-5284     280085     94157    151766
                                                              364,866       3,687       X   X 28-1500       3687
                                                            1,392,367      14,070       X     28-4580      14070

  SPS TECHNOLOGIES INC           COM            784626103      21,642         567       X     28-5284        567
                                                              404,602      10,600       X   X 28-5284       5000      2600      3000

  S1 CORPORATION                 COM            78463B101      48,109       6,510       X     28-5284       6510

  SPX CORP                       COM            784635104     409,605       3,486       X     28-5284       1507      1279       700
                                                              278,240       2,368       X   X 28-5284        837      1531
                                                                1,175          10       X   X 28-1500         10

  SVI SOLUTIONS INC              COM NEW        784872301       3,500       7,000       X     28-5284       7000

  S Y BANCORP INC                COM            785060104     445,823      10,887       X     28-5284      10887
                                                              129,402       3,160       X   X 28-5284       3160

  SABRE HLDGS CORP               CL A           785905100      69,094       1,930       X     28-5284       1930
                                                              737,122      20,590       X   X 28-5284       1800               18790

  SAFECO CORP                    COM            786429100     148,272       4,800       X     28-5284       4800
                                                               96,995       3,140       X   X 28-5284        180      2960

  SAFEGUARD SCIENTIFICS INC      COM            786449108     198,496      99,248       X     28-5284      87798      6000      5450
                                                                5,600       2,800       X   X 28-5284        800                2000
                                                                8,200       4,100       X   X 28-1500       4100

  SAFEWAY INC                    COM NEW        786514208  11,077,371     379,492       X     28-5284     337312      1940     40240
                                                            2,410,452      82,578       X   X 28-5284      49390     31108      2080
                                                                9,925         340       X   X 28-1500        340
                                                              486,948      16,682       X     28-4580      16482                 200
                                                               14,974         513       X   X 28-4580                  330       183

  ST JOE CO                      COM            790148100      42,028       1,400       X     28-5284       1400
                                                               15,010         500       X     28-1500                  500

  ST JUDE MED INC                COM            790849103     327,525       4,435       X     28-5284       3640        50       745
                                                               14,770         200       X   X 28-5284         90                 110
0                COLUMN TOTAL                             189,611,710
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   162 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  ST PAUL COS INC                COM            792860108     229,939       5,908       X     28-5284       5852                  56
                                                              192,187       4,938       X   X 28-5284       2338                2600
                                                              155,680       4,000       X     28-4580       4000

  SAKS INC                       COM            79377W108      12,840       1,000       X   X 28-1500       1000

  SALEM COMMUNICATIONS CORP DE   CL A           794093104       9,948         400       X   X 28-5284        400

  SALOMON BROS HIGH INCOME FD    COM            794907105      21,940       2,168       X     28-5284       2168
                                                                2,024         200       X   X 28-5284        200

  SALISBURY BANCORP INC          COM            795226109       4,820         200       X     28-5284        200

  SALOMON BROTHERS FD INC        COM            795477108     704,251      66,189       X     28-5284      62091                4098
                                                              163,750      15,390       X   X 28-5284      12390                3000

  SALOMON BROS 2008 WORLDWIDE    COM            79548R103      14,590       1,436       X     28-5284       1436

  SALOMON BROS WORLDWIDE INCOM   COM            79548T109      46,818       3,701       X     28-5284       3701
                                                               10,436         825       X   X 28-5284        825

  SALTON INC                     COM            795757103       2,870         200       X     28-5284        200

  SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105      75,232       6,796       X     28-5284       6796
                                                                4,694         424       X   X 28-5284                  424

  SAN PAOLO-IMI S P A            SPONSORED ADR  799175104       3,008         150       X   X 28-5284                            150

  SANCHEZ COMPUTER ASSOCS INC    COM            799702105      44,600      10,000       X     28-5284      10000
                                                                1,784         400       X   X 28-1500        400

  SANDATA TECHNOLOGIES INC       COM NEW        799778204      13,250      25,000       X     28-5284      25000

  SANDISK CORP                   COM            80004C101      17,670       1,425       X     28-5284       1425
                                                               14,880       1,200       X   X 28-1500       1200
                                                                6,200         500       X     28-4580        500

  SANMINA SCI CORP               COM            800907107      59,592       9,444       X     28-5284       6724                2720
                                                                7,572       1,200       X   X 28-5284       1200
                                                                3,155         500       X   X 28-1500        500

  SANGSTAT MED CORP              COM            801003104      48,258       2,100       X     28-5284       2100
0                COLUMN TOTAL                               1,871,988
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   163 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SANTA FE ENERGY TR             RCPT DEP UNITS 802013102      12,720         600       X     28-5284        600
                                                                4,240         200       X   X 28-5284        200

  SANYO ELEC LTD                 ADR 5 COM      803038306       4,400         200       X   X 28-5284        200

  SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204     240,471       9,900       X     28-5284       9700                 200
                                                                2,429         100       X   X 28-5284                            100
                                                                1,579          65       X   X 28-1500         65

  SARA LEE CORP                  COM            803111103  21,723,022   1,052,472       X     28-5284     913585     11100    127787
                                                           24,082,731   1,166,799       X   X 28-5284     962699    179007     25093
                                                              123,840       6,000       X     28-1500                 6000
                                                              415,545      20,133       X     28-4580      20133
                                                              612,327      29,667       X   X 28-4580      29667

  SATYAM INFOWAY LTD             SPONSORED ADR  804099109       2,605       5,000       X   X 28-1500       5000

  SAUCONY INC                    CL A           804120103       1,426         200       X     28-5284        200

  SAUL CTRS INC                  COM            804395101      20,720         800       X     28-5284        800

  SAVVIS COMMUNICATIONS CORP     COM            805423100       1,166       2,200       X   X 28-5284       2200

  SCANA CORP NEW                 COM            80589M102     257,085       8,328       X     28-5284       7428                 900
                                                               64,117       2,077       X   X 28-5284       2077
                                                               61,740       2,000       X     28-4580       2000

  SCHEIB EARL INC                COM            806398103      21,350       7,000       X   X 28-5284                           7000

  SCHERING PLOUGH CORP           COM            806605101  52,288,505   2,125,549       X     28-5284    1781035     26835    317679
                                                           37,790,815   1,536,212       X   X 28-5284    1144395    236395    155422
                                                              277,832      11,294       X     28-1500                11294
                                                              971,700      39,500       X     28-4580      39500
                                                            1,603,920      65,200       X   X 28-4580      65200

  SCHLUMBERGER LTD               COM            806857108  25,778,810     554,383       X     28-5284     463548      5970     84865
                                                           21,379,538     459,775       X   X 28-5284     300006    113293     46476
                                                               25,715         553       X   X 28-1500        553
                                                              511,965      11,010       X     28-4580      11010
                                                               51,150       1,100       X   X 28-4580       1100
0                COLUMN TOTAL                             188,333,463
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   164 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SCHOLASTIC CORP                COM            807066105     394,160      10,400       X     28-5284       9900                 500
                                                               79,590       2,100       X   X 28-5284        500      1600
                                                                3,790         100       X   X 28-1500        100

  SCHOOL SPECIALTY INC           COM            807863105      19,920         750       X   X 28-5284                            750

  SCHWAB CHARLES CORP NEW        COM            808513105   1,321,611     118,001       X     28-5284     115301                2700
                                                            1,625,680     145,150       X   X 28-5284      63585      3300     78265
                                                                3,864         345       X   X 28-1500        345

  SCHWEITZER-MAUDUIT INTL INC    COM            808541106       2,706         110       X     28-5284        110
                                                              304,302      12,370       X   X 28-5284        120               12250

  SCIENTIFIC ATLANTA INC         COM            808655104     109,557       6,660       X     28-5284       6160                 500
                                                              259,581      15,780       X   X 28-5284      10980                4800
                                                               78,467       4,770       X   X 28-1500       4770

  SCIOS INC                      COM            808905103     193,578       6,324       X     28-5284       5224                1100
                                                               21,427         700       X   X 28-5284        700

  SCOTTISH PWR PLC               SPON ADR FINAL 81013T705      57,010       2,664       X     28-5284       2664
                                                              151,084       7,060       X   X 28-5284       2462      3153      1445
                                                               45,111       2,108       X     28-4580       2108

  SCOTTS CO                      CL A           810186106      22,700         500       X   X 28-5284                            500

  SCRIPPS E W CO OHIO            CL A           811054204      34,188         444       X     28-5284        444
                                                              950,950      12,350       X   X 28-5284                  700     11650

  SCUDDER HIGH INCOME TR         SH BEN INT     811153105      74,827      12,492       X     28-5284      12492

  SCUDDER MULTI-MARKET INCOME    SH BEN INT     81118Q101       7,570       1,000       X     28-5284       1000
                                                               17,600       2,325       X   X 28-5284       2325

  SCUDDER MUN INCOME TR          COM SH BEN INT 81118R604     927,995      82,709       X     28-5284      81875                 834
                                                               11,220       1,000       X   X 28-5284       1000

  SCUDDER NEW ASIA FD INC        COM            811183102       9,200       1,000       X   X 28-5284       1000

  SCUDDER STRATEGIC MUN INCOME   COM SH BEN INT 811234103      11,620       1,000       X     28-5284       1000

  SEA CONTAINERS LTD             CL A           811371707       2,880         200       X   X 28-5284                  200
0                COLUMN TOTAL                               6,742,188
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   165 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SEACHANGE INTL INC             COM            811699107      32,486       3,700       X     28-5284       3700

  SEACOAST FINL SVCS CORP        COM            81170Q106       7,521         300       X   X 28-5284        300

  SEACOAST BKG CORP FLA          COM            811707306     207,828       3,600       X   X 28-5284       3600
                                                               28,865         500       X   X 28-1500        500

  SEALED AIR CORP NEW            COM            81211K100      28,793         715       X     28-5284        715
                                                              360,618       8,955       X   X 28-5284        248      8707

  SEALED AIR CORP NEW            PFD CV A $2    81211K209       8,333         204       X     28-5284        204
                                                               71,610       1,753       X   X 28-5284        328      1425
                                                                7,762         190       X     28-4580        190

  SEARS ROEBUCK & CO             COM            812387108   3,583,311      65,991       X     28-5284      59642       850      5499
                                                            8,799,206     162,048       X   X 28-5284      46622    106596      8830
                                                                8,145         150       X   X 28-1500        150
                                                              184,620       3,400       X     28-4580       3400
                                                              211,770       3,900       X   X 28-4580       3700       200

  SECTOR SPDR TR                 SBI BASIC INDS 81369Y100      82,093       3,540       X     28-5284       3540

  SECTOR SPDR TR                 SBI CONS SERVS 81369Y209     719,680      26,000       X   X 28-5284      26000

  SECTOR SPDR TR                 SBI CONS STPLS 81369Y308     890,000      40,000       X   X 28-5284      40000
                                                               64,970       2,920       X   X 28-1500       2920

  SECTOR SPDR TR                 SBI CYCL TRANS 81369Y407     300,165      10,927       X     28-5284      10927
                                                              466,990      17,000       X   X 28-5284      17000

  SECTOR SPDR TR                 SBI INT-ENERGY 81369Y506   7,789,103     297,294       X     28-5284     297294
                                                              609,805      23,275       X   X 28-5284       6339      3226     13710
                                                               52,793       2,015       X   X 28-1500       2015
                                                               18,419         703       X   X 28-4580        703

  SECTOR SPDR TR                 SBI INT-FINL   81369Y605     515,119      20,490       X     28-5284      20490
                                                              125,700       5,000       X   X 28-5284       5000
                                                               58,576       2,330       X   X 28-1500       2330
                                                              284,962      11,335       X     28-4580      11335
                                                               14,456         575       X   X 28-4580        575

  SECTOR SPDR TR                 SBI INT-INDS   81369Y704     322,691      13,530       X     28-5284      13530
0                COLUMN TOTAL                              25,856,390
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   166 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SECTOR SPDR TR                 SBI INT-TECH   81369Y803   3,839,815     242,719       X     28-5284     211569               31150
                                                            1,029,392      65,069       X   X 28-5284       6550     15400     43119
                                                               17,086       1,080       X   X 28-1500       1080
                                                               78,309       4,950       X     28-4580       4950
                                                               47,460       3,000       X   X 28-4580       3000

  SECTOR SPDR TR                 SBI INT-UTILS  81369Y886     242,258       9,990       X     28-5284       9990
                                                               81,238       3,350       X   X 28-5284                   50      3300
                                                               14,550         600       X   X 28-1500        600

  SECURE COMPUTING CORP          COM            813705100     117,025      15,500       X     28-5284      14500                1000

  SEITEL INC                     COM NEW        816074306         500         500       X     28-5284        500

  SELECT MEDICAL CORP            COM            816196109      23,490       1,500       X     28-5284       1500

  SELECTIVE INS GROUP INC        COM            816300107      56,660       2,000       X     28-5284       2000
                                                              702,414      24,794       X   X 28-5284      24794
                                                            1,133,200      40,000       X   X 28-4580      40000

  SELIGMAN SELECT MUN FD INC     COM            816344105      21,360       2,000       X     28-5284       2000

  SEMICONDUCTOR HLDRS TR         DEP RCPT       816636203      18,210         600       X     28-5284        600

  SEMTECH CORP                   COM            816850101       8,010         300       X     28-5284        300

  SEMPRA ENERGY                  COM            816851109     179,054       8,091       X     28-5284       8091
                                                               67,740       3,061       X   X 28-5284        875      1284       902
                                                                5,555         251       X   X 28-4580        251

  SENIOR HSG PPTYS TR            SH BEN INT     81721M109      35,796       2,280       X     28-5284       2280
                                                                  785          50       X   X 28-5284         50

  SENSIENT TECHNOLOGIES CORP     COM            81725T100      30,726       1,350       X     28-5284       1350

  SEPRACOR INC                   COM            817315104      15,662       1,640       X     28-5284       1340                 300
                                                               29,605       3,100       X   X 28-5284       3100
                                                                  535          56       X   X 28-1500         56

  SEROLOGICALS CORP              COM            817523103      18,290       1,000       X   X 28-5284                           1000
0                COLUMN TOTAL                               7,814,725
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   167 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SERVICE CORP INTL              COM            817565104      18,837       3,900       X     28-5284                           3900
                                                                6,878       1,424       X   X 28-5284        224       450       750
                                                                  483         100       X   X 28-4580        100

  SERVICEMASTER CO               COM            81760N109     132,151       9,632       X     28-5284       9632
                                                            1,096,585      79,926       X   X 28-5284      14483     65443

  SERVICEWARE TECHNOLOGIES INC   COM            81763Q109      38,572      71,429       X                  71429

  7-ELEVEN INC                   COM NEW        817826209          24           3       X     28-5284          3

  724 SOLUTIONS INC              COM            81788Q100       5,714      10,781       X                  10781

  SHAW COMMUNICATIONS INC        CL B CONV      82028K200       5,600         500       X     28-5284        500
                                                               22,400       2,000       X   X 28-5284       2000

  SHAW GROUP INC                 COM            820280105   2,488,542      81,060       X     28-5284      81060
                                                              313,140      10,200       X   X 28-5284      10200

  SHELL TRANS & TRADING PLC      ADR NY SHS NEW 822703609   1,402,827      31,167       X     28-5284      25804                5363
                                                            2,721,530      60,465       X   X 28-5284      45600      3200     11665
                                                                6,752         150       X   X 28-1500        150
                                                              270,060       6,000       X     28-4580       6000

  SHERWIN WILLIAMS CO            COM            824348106  14,359,097     479,756       X     28-5284     249206              230550
                                                            8,170,890     273,000       X   X 28-5284     180800     11200     81000
                                                              199,932       6,680       X   X 28-1500       6680
                                                              335,216      11,200       X     28-4580       3200                8000
                                                               89,790       3,000       X   X 28-4580       3000

  SHIRE PHARMACEUTICALS GRP PL   SPONSORED ADR  82481R106      42,999       1,666       X   X 28-5284       1666
                                                                1,032          40       X   X 28-1500         40

  SHOPKO STORES INC              COM            824911101     113,120       5,600       X   X 28-5284                           5600

  SHOP AT HOME INC               COM NEW        825066301         200         100       X   X 28-5284        100
                                                               10,106       5,053       X   X 28-1500       5053

  SHORE BANCSHARES INC           COM            825107105   1,855,308      88,348       X   X 28-5284      88348

  SHURGARD STORAGE CTRS INC      COM            82567D104       7,703         222       X     28-5284        222
                                                               48,892       1,409       X   X 28-5284        981                 428

  SICOR INC                      COM            825846108      55,620       3,000       X   X 28-5284       3000
0                COLUMN TOTAL                              33,820,000
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   168 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SIEBEL SYS INC                 COM            826170102     470,071      33,057       X     28-5284      32787                 270
                                                              356,296      25,056       X   X 28-5284       6850      4200     14006
                                                               15,642       1,100       X   X 28-1500       1100

  SIEMENS A G                    SPONSORED ADR  826197501       9,801         165       X   X 28-1500        165

  SIERRA HEALTH SVCS INC         COM            826322109     192,210       8,600       X   X 28-5284                           8600

  SIERRA PAC RES NEW             COM            826428104      55,341       7,095       X   X 28-5284       1295      3800      2000

  SIGMA ALDRICH CORP             COM            826552101     579,283      11,551       X     28-5284       8685       266      2600
                                                            2,634,630      52,535       X   X 28-5284      46700      1700      4135

  SIGA TECHNOLOGIES INC          COM            826917106         224         200       X   X 28-1500        200

  SILICON LABORATORIES INC       COM            826919102      78,474       2,900       X     28-5284       2900

  SILICON GRAPHICS INC           COM            827056102         412         140       X     28-5284        140
                                                                3,822       1,300       X   X 28-5284       1300

  SILICON STORAGE TECHNOLOGY I   COM            827057100         585          75       X   X 28-5284                             75

  SILICON VY BANCSHARES          COM            827064106      26,360       1,000       X     28-5284       1000
                                                            1,774,028      67,300       X     28-1500      67300

  SILVER STD RES INC             COM            82823L106      23,320       4,000       X   X 28-1500       4000

  SIMON PPTY GROUP INC NEW       COM            828806109   3,857,995     104,723       X     28-5284     103698                1025
                                                              156,865       4,258       X   X 28-5284       1488      2770
                                                               18,420         500       X   X 28-1500        500

  SIMON PPTY GROUP INC NEW       PFD CV B 6.50% 828806406     240,000       2,500       X   X 28-5284       2500

  SIMPLETECH INC                 COM            828823104       4,092       1,200       X     28-5284       1200

  SINCLAIR BROADCAST GROUP INC   CL A           829226109     186,263      12,900       X   X 28-5284                          12900

  SIRENZA MICRODEVICES INC       COM            82966T106       8,080       4,000       X     28-5284       4000

  SIRIUS SATELLITE RADIO INC     COM            82966U103     385,192     102,200       X     28-5284     102200
                                                                1,225         325       X     28-1500                  325

  SIZELER PPTY INVS INC          COM            830137105       2,184         200       X   X 28-5284                  200
0                COLUMN TOTAL                              11,080,815
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   169 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SKECHERS U S A INC             CL A           830566105     101,567       4,700       X   X 28-5284                           4700

  SKY FINL GROUP INC             COM            83080P103     626,928      29,642       X     28-5284      29642
                                                            1,198,592      56,671       X   X 28-5284       4009     52062       600

  SKYLINE CORP                   COM            830830105       1,650          50       X   X 28-5284         50

  SMARTFORCE PUB LTD CO          SPONSORED ADR  83170A206       4,080       1,200       X   X 28-1500       1200

  SMITH A O                      COM            831865209     158,547       5,080       X   X 28-5284                           5080

  SMITH INTL INC                 COM            832110100     351,179       5,150       X   X 28-5284       3050                2100

  SMITHFIELD FOODS INC           COM            832248108       3,710         200       X     28-5284        200
                                                               57,598       3,105       X   X 28-1500       3105

  SMUCKER J M CO                 COM NEW        832696405   4,095,600     120,000       X     28-5284     110060       789      9151
                                                            1,947,117      57,050       X   X 28-5284      36764      8537     11749
                                                              104,438       3,060       X     28-1500                 3060
                                                               60,820       1,782       X     28-4580       1780                   2
                                                               37,714       1,105       X   X 28-4580        905        51       149

  SNAP ON INC                    COM            833034101      29,690       1,000       X     28-5284       1000
                                                              122,917       4,140       X   X 28-5284        690      3450

  SOCKET COMMUNICATIONS INC      COM            833672108       1,010       1,000       X     28-5284       1000

  SOLECTRON CORP                 COM            834182107   3,214,673     522,711       X     28-5284     229461              293250
                                                              118,388      19,250       X   X 28-5284      14050                5200
                                                               67,466      10,970       X     28-1500                10970
                                                               55,897       9,089       X                   9089

  SOLUTIA INC                    COM            834376105      31,773       4,526       X     28-5284       4526
                                                               70,453      10,036       X   X 28-5284       7138      2698       200
                                                                7,076       1,008       X   X 28-4580       1008

  SONIC CORP                     COM            835451105      47,115       1,500       X     28-5284       1500
                                                              344,725      10,975       X   X 28-5284      10000                 975

  SONIC SOLUTIONS                COM            835460106      59,618       7,500       X     28-5284       7500

  SONOCO PRODS CO                COM            835495102   2,198,397      77,627       X     28-5284      66325      1000     10302
                                                              921,844      32,551       X   X 28-5284      16405     11757      4389
                                                               14,160         500       X   X 28-4580        500
0                COLUMN TOTAL                              16,054,742
0
0
0





1                                                                                                                   FILE NO. 28-1235
   PAGE   170 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SONY CORP                      ADR NEW        835699307     168,593       3,175       X     28-5284       2620                 555
                                                              509,495       9,595       X   X 28-5284       6660      1760      1175
                                                                1,593          30       X   X 28-1500         30

  SOTHEBYS HLDGS INC             CL A           835898107       3,563         250       X   X 28-5284                            250

  SOURCE CAP INC                 COM            836144105     234,618       3,833       X     28-5284       3833

  SOUTH FINL GROUP INC           COM            837841105       3,070         137       X     28-5284        137
                                                            1,086,837      48,500       X     28-1500      48500

  SOUTH JERSEY INDS INC          COM            838518108     389,475      11,540       X     28-5284      10418                1122
                                                              932,006      27,615       X   X 28-5284      27615

  SOUTHERN CO                    COM            842587107   6,692,971     244,269       X     28-5284     192717               51552
                                                            5,167,284     188,587       X   X 28-5284     129097     51000      8490
                                                              149,577       5,459       X     28-1500                 5459
                                                              693,220      25,300       X     28-4580      23500                1800
                                                               95,900       3,500       X   X 28-4580                           3500

  SOUTHERN FINL BANCORP INC      COM            842870107   2,430,558      76,050       X     28-1500      76050

  SOUTHERN MO BANCORP INC        COM            843380106      38,500       2,000       X   X 28-5284       2000

  SOUTHERN PAC PETE NL           SPONS ADR NEW  843581406      14,617         943       X     28-5284        600                 343

  SOUTHERN UN CO NEW             COM            844030106     315,537      18,561       X     28-5284      18561
                                                               62,118       3,654       X   X 28-5284       3654

  SOUTHSIDE CAP TR II            PFD CONV SECSP 84471C206      82,100       5,000       X   X 28-5284       5000

  SOUTHTRUST CORP                COM            844730101   1,294,350      49,554       X     28-5284      14334               35220
                                                              153,168       5,864       X   X 28-5284       5364       500
                                                               11,754         450       X     28-1500                  450

  SOUTHWEST AIRLS CO             COM            844741108     897,607      55,545       X     28-5284      52177                3368
                                                              865,869      53,581       X   X 28-5284      16233     28436      8912
                                                               53,506       3,311       X   X 28-1500       3311
                                                              103,618       6,412       X   X 28-4580       3375      3037

  SOUTHWEST BANCORPORATION TEX   COM            84476R109     108,660       3,000       X   X 28-5284                           3000

  SOUTHWEST WTR CO               COM            845331107      78,238       4,133       X   X 28-5284       4133
0                COLUMN TOTAL                              22,638,402
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   171 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  SOUTHWESTERN ENERGY CO         COM            845467109      45,570       3,000       X   X 28-4580       3000

  SOVEREIGN BANCORP INC          COM            845905108     578,685      38,708       X     28-5284      38708
                                                              493,754      33,027       X   X 28-5284      19183      1944     11900
                                                                9,732         651       X   X 28-1500        651

  SOVRAN SELF STORAGE INC        COM            84610H108      59,798       1,750       X     28-5284       1750

  SPAIN FD                       COM            846330108      25,680       3,000       X   X 28-5284                           3000

  SPARTECH CORP                  COM NEW        847220209      81,690       3,000       X   X 28-5284       3000

  SPECTRUM CTL INC               COM            847615101      18,755       3,100       X     28-5284       3100
                                                                2,420         400       X   X 28-5284        400

  SPHERION CORP                  COM            848420105      67,830       5,700       X   X 28-5284                           5700

  SPINNAKER EXPL CO              COM            84855W109       3,602         100       X   X 28-5284        100

  SPORTSLINE COM INC             COM            848934105         515         500       X   X 28-5284                            500

  SPORTS AUTH INC                COM            849176102     115,872      10,200       X   X 28-5284                          10200

  SPRINT CORP                    COM FON GROUP  852061100   2,372,958     223,653       X     28-5284     207245     13022      3386
                                                            4,739,667     446,717       X   X 28-5284     170600    241845     34272
                                                                9,549         900       X   X 28-1500        900
                                                               45,506       4,289       X     28-4580       4289
                                                               18,292       1,724       X   X 28-4580       1724

  SPRINT CORP                    PCS COM SER 1  852061506     896,052     200,459       X     28-5284     191899      5610      2950
                                                              796,813     178,258       X   X 28-5284      72018     69124     37116
                                                                9,834       2,200       X   X 28-1500       2200
                                                                4,917       1,100       X     28-4580       1100
                                                                3,853         862       X   X 28-4580        862

  STAAR SURGICAL CO              COM PAR $0.01  852312305         412         100       X     28-1500                  100

  STAGE STORES INC               COM NEW        85254C305     100,746       2,900       X   X 28-5284       2900

  STANCORP FINL GROUP INC        COM            852891100       2,886          52       X     28-5284         52

  STANDARD MICROSYSTEMS CORP     COM            853626109       1,181          50       X     28-5284         50
0                COLUMN TOTAL                              10,506,569
0
0
0







1                                                                                                                   FILE NO. 28-1235
   PAGE   172 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  STANDARD PAC CORP NEW          COM            85375C101      17,540         500       X     28-5284        500
                                                               17,715         505       X   X 28-1500        505

  STANDARD REGISTER CO           COM            853887107      14,189         415       X   X 28-5284        415

  STANDEX INTL CORP              COM            854231107      45,331       1,806       X     28-5284       1806

  STANLEY WKS                    COM            854616109     126,885       3,094       X     28-5284       3094
                                                              310,856       7,580       X   X 28-5284        780                6800

  STAPLES INC                    COM            855030102   1,011,378      51,339       X     28-5284      50739       150       450
                                                            2,131,185     108,182       X   X 28-5284     100031      7811       340
                                                               13,790         700       X   X 28-4580                  700

  STAR GAS PARTNERS L P          UNIT LTD PARTN 85512C105      14,704         800       X     28-5284        800
                                                              120,849       6,575       X   X 28-1500       6575

  STARBUCKS CORP                 COM            855244109     279,712      11,256       X     28-5284       9456                1800
                                                              755,316      30,395       X   X 28-5284      29635       100       660
                                                               19,383         780       X   X 28-1500        780
                                                               10,586         426       X   X 28-4580                            426

  STATE BANCORP INC N.Y          COM            855716106     207,371      11,816       X   X 28-5284      11816
                                                              191,313      10,901       X     28-1500      10901

  STARWOOD HOTELS&RESORTS WRLD   PAIRED CTF     85590A203     174,350       5,301       X     28-5284       5301
                                                              536,699      16,318       X   X 28-5284       2182        78     14058
                                                               11,183         340       X   X 28-1500        340
                                                               28,845         877       X   X 28-4580                  877

  STATE STR CORP                 COM            857477103   9,562,045     213,916       X     28-5284     178196      5940     29780
                                                           16,569,485     370,682       X   X 28-5284     322446     27596     20640
                                                              335,608       7,508       X     28-4580       7508
                                                              500,640      11,200       X   X 28-4580       3800      7400

  STEEL DYNAMICS INC             COM            858119100       1,647         100       X     28-5284        100

  STEIN MART INC                 COM            858375108       2,825         238       X     28-5284                            238

  STELLENT INC                   COM            85856W105      13,950       3,100       X     28-5284       3100

  STEMCELLS INC                  COM            85857R105       8,100       5,000       X   X 28-5284       5000
0                COLUMN TOTAL                              33,033,480
0
0
0





1                                                                                                                   FILE NO. 28-1235
   PAGE   173 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  STERICYCLE INC                 COM            858912108     198,296       5,600       X     28-5284       5600
                                                              283,280       8,000       X   X 28-5284       8000

  STERIS CORP                    COM            859152100      32,487       1,700       X     28-5284        700                1000
                                                                6,211         325       X   X 28-5284                            325

  STERLING FINL CORP             COM            859317109     109,200       4,375       X     28-5284       4375

  STILLWATER MNG CO              COM            86074Q102      29,304       1,800       X     28-5284       1800

  STILWELL FINL INC              COM            860831106     409,591      22,505       X     28-5284      17705                4800
                                                               81,900       4,500       X   X 28-5284       4500
                                                                3,640         200       X   X 28-1500        200

  STMICROELECTRONICS N V         NY REGISTRY    861012102       2,433         100       X   X 28-5284        100

  STORA ENSO CORP                SPON ADR REP R 86210M106      47,978       3,621       X     28-5284       3621

  STORAGE COMPUTER CORP          COM            86211A101     314,420      79,000       X     28-5284      79000

  STORAGENETWORKS INC            COM            86211E103       2,790       1,417       X     28-5284       1417
                                                                  985         500       X   X 28-5284        500

  STORAGE TECHNOLOGY CORP        COM PAR $0.10  862111200     268,967      16,842       X     28-5284      16842
                                                               11,179         700       X   X 28-5284        700

  STRATEGIC DIAGNOSTICS INC      COM            862700101       1,496         340       X   X 28-5284        340
                                                               47,432      10,780       X   X 28-1500      10780

  STRATEGIC GLOBAL INCOME FD     COM            862719101      12,250       1,000       X   X 28-5284       1000
                                                                6,186         505       X   X 28-1500        505

  STRATOS LIGHTWAVE INC          COM            863100103       5,440       3,400       X     28-5284       3400
                                                                4,000       2,500       X   X 28-5284                           2500

  STRATTEC SEC CORP              COM            863111100      33,192         600       X     28-5284        600
                                                              237,931       4,301       X   X 28-5284       4301

  STRAYER ED INC                 COM            863236105      29,192         459       X     28-5284        459

  STREETTRACKS SER TR            DJ SML CAP GRW 86330E307       5,920         110       X     28-5284        110

  STREETTRACKS SER TR            DJ SML CAP VAL 86330E406       7,406          55       X     28-5284         55
0                COLUMN TOTAL                               2,193,106
0
0
0






1                                                                                                                   FILE NO. 28-1235
   PAGE   174 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.        AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                 
  STREETTRACKS SER TR            FORTUNE 500    86330E885       7,176         100       X   X 28-5284        100

  STRYKER CORP                   COM            863667101  49,638,391     927,647       X     28-5284     819362      8260    100025
                                                           15,281,707     285,586       X   X 28-5284     209480     59971     16135
                                                              917,750      17,151       X     28-4580      16627                 524
                                                              144,049       2,692       X   X 28-4580        940      1590       162

  STURM RUGER & CO INC           COM            864159108       5,660         400       X     28-5284        400
                                                                4,104         290       X   X 28-5284        290

  SUBURBAN PROPANE PARTNERS L    UNIT LTD PARTN 864482104      59,800       2,300       X     28-5284       2300

  SUFFOLK BANCORP                COM            864739107      79,972       2,191       X     28-1500       2191

  SUMMIT PPTYS INC               COM            866239106      14,010         600       X   X 28-5284                  600

  SUN BANCORP INC                COM            86663B102       8,417         606       X     28-5284        606

  SUN INC                        SDCV  6.750% 6 866762AG2   1,020,000      10,000       X   X 28-5284      10000

  SUN LIFE FINL SVCS CDA INC     COM            866796105   2,688,452     122,985       X     28-5284     109260               13725
                                                              183,449       8,392       X   X 28-5284       7406       652       334
                                                               27,325       1,250       X   X 28-4580       1250

  SUN MICROSYSTEMS INC           COM            866810104  11,422,690   2,279,978       X     28-5284    1988266      6640    285072
                                                            4,130,830     824,517       X   X 28-5284     450293    251877    122347
                                                              248,556      49,612       X     28-1500                49612
                                                              301,151      60,110       X     28-4580      60110
                                                               57,114      11,400       X   X 28-4580      10100      1300

  SUNCOR ENERGY INC              COM            867229106      71,440       4,000       X     28-5284       4000
                                                              382,204      21,400       X   X 28-5284      20400                1000

  SUNGARD DATA SYS INC           COM            867363103  17,556,161     662,997       X     28-5284     556907      9475     96615
                                                            9,207,599     347,719       X   X 28-5284     232279     95195     20245
                                                              207,259       7,827       X     28-4580       7827
                                                               35,722       1,349       X   X 28-4580        637       380       332

  SUNOCO INC                     COM            86764P109     637,706      17,898       X     28-5284      17898
                                                              863,279      24,229       X   X 28-5284      18065      5956       208

  SUNRISE TELECOM INC            COM            86769Y105      15,120       7,000       X     28-5284       7000
0                COLUMN TOTAL                             115,217,093
0
0
0







1                                                                                                                  FILE NO. 28-1235
   PAGE   175 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  SUNTRUST BKS INC               COM            867914103  14,120,433     208,512       X     28-5284     180629       130     27753
                                                            5,738,525      84,739       X   X 28-5284      62142     15514      7083
                                                              135,440       2,000       X     28-1500                 2000
                                                                5,418          80       X     28-4580         80
                                                               10,158         150       X   X 28-4580                  150

  SUPERGEN INC                   COM            868059106       7,260       1,000       X     28-5284       1000

  SUPERIOR ENERGY SVCS INC       COM            868157108      90,335       8,900       X   X 28-5284       8900

  SUPERIOR INDS INTL INC         COM            868168105       4,625         100       X     28-5284        100
                                                               55,500       1,200       X   X 28-5284        200                1000

  SUPERVALU INC                  COM            868536103      81,440       3,320       X     28-5284        263                3057
                                                               12,265         500       X   X 28-5284        100                 400

  SURMODICS INC                  COM            868873100       7,797         300       X     28-5284        300

  SUSQUEHANNA BANCSHARES INC P   COM            869099101      99,924       4,400       X     28-5284       3950                 450
                                                              508,545      22,393       X   X 28-5284       6445     11956      3992

  SWIFT ENERGY CO                COM            870738101       4,737         300       X   X 28-5284        300

  SWISS HELVETIA FD INC          COM            870875101     125,091      10,925       X   X 28-5284                10925

  SYBASE INC                     COM            871130100      11,141       1,056       X     28-5284         56                1000
                                                               37,980       3,600       X   X 28-5284       1000                2600

  SYBRON DENTAL SPECIALTIES IN   COM            871142105      12,321         666       X     28-5284                            666

  SYCAMORE NETWORKS INC          COM            871206108      13,514       3,501       X     28-5284       3266                 235
                                                                  926         240       X   X 28-5284        240

  SYLVAN LEARNING SYS INC        COM            871399101      12,961         650       X     28-5284        650

  SYMANTEC CORP                  COM            871503108      78,052       2,376       X     28-5284       1676                 700
                                                              375,837      11,441       X   X 28-5284                  300     11141
                                                               22,207         676       X   X 28-1500        676

  SYMBOL TECHNOLOGIES INC        COM            871508107       7,650         900       X     28-5284        900
                                                               93,475      10,997       X   X 28-5284       4920                6077
0                COLUMN TOTAL                              21,673,557
0
0
0












1                                                                                                                  FILE NO. 28-1235
   PAGE   176 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                        

  SYMYX TECHNOLOGIES             COM            87155S108     155,904      11,200       X     28-5284                          11200
                                                                8,352         600       X   X 28-1500        600

  SYMS CORP                      COM            871551107       1,336         200       X     28-5284        200

  SYNAVANT INC                   COM            87157A105       1,447       1,026       X     28-5284       1026
                                                                  918         651       X   X 28-5284        492       159
                                                                  544         386       X   X 28-4580        386

  SYNCOR INTL CORP DEL           COM            87157J106       9,450         300       X     28-5284        300
                                                               15,750         500       X   X 28-5284                            500
                                                                4,725         150       X   X 28-1500        150

  SYNGENTA AG                    SPONSORED ADR  87160A100      59,718       4,911       X     28-5284       4911
                                                                4,864         400       X   X 28-5284                  400

  SYNOPSYS INC                   COM            871607107       5,481         100       X     28-5284                            100
                                                              164,430       3,000       X   X 28-5284       3000
                                                               31,516         575       X   X 28-1500        575

  SYNOVUS FINL CORP              COM            87161C105  33,200,156   1,206,401       X     28-5284     699370       600    506431
                                                            3,217,418     116,912       X   X 28-5284      17675               99237

  SYNTEL INC                     COM            87162H103     165,624      13,400       X   X 28-5284      13400

  SYNTROLEUM CORP                COM            871630109       4,320       1,500       X     28-5284       1500

  SYSCO CORP                     COM            871829107  67,485,185   2,479,250       X     28-5284    2276907      6230    196113
                                                            5,425,518     199,321       X   X 28-5284     106045     62966     30310
                                                                9,527         350       X   X 28-1500        350
                                                              337,582      12,402       X     28-4580      12126                 276
                                                                2,722         100       X   X 28-4580                  100

  TC PIPELINES LP                UT COM LTD PRT 87233Q108     203,906       8,600       X     28-5284       8600

  TCW/DW TERM TR 2003            SH BEN INT     87234U108      90,761       8,435       X     28-5284       8435
                                                               23,091       2,146       X   X 28-5284        846      1300
                                                               33,969       3,157       X     28-4580       3157

  TCW CONV SECS FD INC           COM            872340104      50,706       8,100       X     28-5284       8100
                                                               27,988       4,471       X   X 28-5284       4471
0                COLUMN TOTAL                             110,742,908
0
0
0










1                                                                                                                  FILE NO. 28-1235
PAGE   177 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 06/30/02

                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  TECO ENERGY INC                COM            872375100   5,871,616     237,237       X     28-5284     231837      2900      2500
                                                            2,935,127     118,591       X   X 28-5284      40727     71032      6832
                                                               22,275         900       X     28-1500                  900
                                                               94,050       3,800       X   X 28-4580       3800

  TEL OFFSHORE TR                UNIT BEN INT   872382106         280         100       X   X 28-5284                  100

  TEPPCO PARTNERS L P            UT LTD PARTNER 872384102     209,928       6,550       X     28-5284       6550
                                                               89,740       2,800       X   X 28-5284       2000       800
                                                               14,262         445       X   X 28-1500        445

  TF FINL CORP                   COM            872391107      13,872         600       X   X 28-5284        600

  THQ INC                        COM NEW        872443403     181,902       6,100       X     28-5284       6100

  TJX COS INC NEW                COM            872540109     844,014      43,040       X     28-5284      31040               12000
                                                              370,629      18,900       X   X 28-5284       1000               17900

  TRC COS INC                    COM            872625108      38,531       1,875       X   X 28-5284       1875

  TRW INC                        COM            872649108   5,788,199     101,583       X     28-5284      99418      1845       320
                                                            7,312,927     128,342       X   X 28-5284      51312     66210     10820
                                                               17,094         300       X   X 28-1500        300
                                                              336,182       5,900       X     28-4580       5900
                                                               91,168       1,600       X   X 28-4580       1600

  TRW INC                        PREF 3 CV$4.50 872649603       4,824          12       X   X 28-5284                   12

  TMP WORLDWIDE INC              COM            872941109   1,769,816      82,317       X     28-5284      82317
                                                              389,236      18,104       X   X 28-5284                          18104

  TXU CORP                       COM            873168108   2,606,368      50,560       X     28-5284      45729      1000      3831
                                                            4,088,946      79,320       X   X 28-5284      25146     53549       625
                                                               82,686       1,604       X     28-1500                 1604
                                                                3,402          66       X     28-4580         66

  TAIWAN SEMICONDUCTOR MFG LTD   SPONSORED ADR  874039100      13,377       1,029       X     28-5284       1029
                                                              183,053      14,081       X   X 28-5284      14000                  81

  TAKE-TWO INTERACTIVE SOFTWAR   COM            874054109      20,590       1,000       X     28-5284       1000
                                                              220,313      10,700       X   X 28-5284      10700
0                COLUMN TOTAL                              33,614,407
0
0
0











1                                                                                                                  FILE NO. 28-1235
   PAGE   178 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                        

  TALBOTS INC                    COM            874161102      36,400       1,040       X     28-5284       1040
                                                               35,000       1,000       X   X 28-5284                           1000

  TALISMAN ENERGY INC            COM            87425E103     903,000      20,000       X   X 28-5284                          20000

  TALK AMERICA HLDGS INC         COM            87426R103          74          18       X     28-5284         18

  TANGER FACTORY OUTLET CTRS I   COM            875465106       5,900         200       X     28-5284        200
                                                              106,200       3,600       X   X 28-5284       2500      1100

  TANOX INC                      COM            87588Q109      75,160       6,940       X   X 28-5284                           6940

  TANGRAM ENTERPRISE SOLUTIONS   COM            875924102         100         250       X     28-5284        250

  TARGET CORP                    COM            87612E106 156,896,791   4,118,026       X     28-5284    3035157      3140   1079729
                                                            8,510,930     223,384       X   X 28-5284     167944     38190     17250
                                                              334,709       8,785       X   X 28-1500       8785
                                                              610,781      16,031       X     28-4580      16031
                                                            1,910,715      50,150       X   X 28-4580      49860       290

  TARGETS TR IV                  GRW ENH AMGEN  87612X104       5,100         500       X     28-5284        500

  TARAGON RLTY INVS INC          COM            876287103      85,250       5,500       X   X 28-5284                           5500

  TASTY BAKING CO                COM            876553306      42,188       3,125       X     28-5284       3125
                                                               10,125         750       X   X 28-5284        750
                                                               33,750       2,500       X     28-4580       2500

  TEAM INC                       COM            878155100     108,600      12,000       X   X 28-5284      12000

  TECH DATA CORP                 COM            878237106       3,785         100       X     28-5284        100
                                                               15,140         400       X   X 28-5284                            400

  TECHNE CORP                    COM            878377100      22,576         800       X   X 28-5284                            800

  TECHNITROL INC                 COM            878555101      88,540       3,800       X     28-5284       3800
                                                                1,165          50       X   X 28-5284         50

  TECUMSEH PRODS CO              CL B           878895101     117,453       2,350       X     28-5284       2350

  TECUMSEH PRODS CO              CL A           878895200     276,016       5,200       X     28-5284       5200

  TEKELEC                        COM            879101103       8,030       1,000       X   X 28-1500       1000
0                COLUMN TOTAL                             170,243,478
0
0
0














1                                                                                                                  FILE NO. 28-1235
   PAGE   179 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                        

  TEKTRONIX INC                  COM            879131100      78,582       4,200       X     28-5284       4200
                                                                1,385          74       X   X 28-5284         74

  TELECOM HLDRS TR               DEPOSITRY RCPT 87927P200      43,215       1,500       X     28-5284       1500
                                                                2,881         100       X   X 28-5284        100

  TELECOM CORP NEW ZEALAND LTD   SPONSORED ADR  879278208      43,800       2,245       X     28-5284       2245
                                                               23,412       1,200       X   X 28-5284       1200

  TELECOMUNICACOES BRASILEIRAS   SPONSORED ADR  879287308      53,865       2,375       X     28-5284       1875                 500

  TELEDYNE TECHNOLOGIES INC      COM            879360105       6,225         300       X     28-5284                            300
                                                                2,054          99       X   X 28-5284         71                  28

  TELEFLEX INC                   COM            879369106  31,332,030     548,242       X     28-5284     244506              303736
                                                            6,941,325     121,458       X   X 28-5284       9258      5200    107000
                                                              385,763       6,750       X     28-1500                 6750
                                                               66,294       1,160       X   X 28-4580       1160

  TELEFONICA S A                 SPONSORED ADR  879382208     140,253       5,644       X     28-5284       5104                 540
                                                              375,533      15,112       X   X 28-5284      14944                 168
                                                               17,370         699       X   X 28-1500        699
                                                               13,593         547       X   X 28-4580        547

  TELEFONICA DEL PERU S A        SP ADR NEW B   879384204       1,267         509       X     28-5284        509

  TELEFONOS DE MEXICO S A        SPON ADR A SHS 879403707      24,852         782       X     28-5284        782

  TELEFONOS DE MEXICO S A        SPON ADR ORD L 879403780      44,912       1,400       X     28-5284       1400
                                                               71,089       2,216       X   X 28-5284       2216
                                                                9,624         300       X   X 28-1500        300

  TELEPHONE & DATA SYS INC       COM            879433100      36,330         600       X     28-5284        600
                                                              155,311       2,565       X   X 28-5284                           2565

  TELLABS INC                    COM            879664100     793,743     128,023       X     28-5284     127623                 400
                                                                6,386       1,030       X   X 28-5284        650                 380
                                                               21,979       3,545       X   X 28-1500       3545
                                                                2,468         398       X                    398

  TEMPLE INLAND INC              COM            879868107     124,168       2,146       X     28-5284       2146
                                                               90,262       1,560       X   X 28-5284        860                 700
0                COLUMN TOTAL                              40,909,971
0
0
0












1                                                                                                                  FILE NO. 28-1235
   PAGE   180 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  TEMPLETON GLOBAL GOVT INCOM    SH BEN INT     879929107      25,269       3,569       X     28-5284       3569
                                                              113,280      16,000       X   X 28-5284      16000

  TEMPLETON DRAGON FD INC        COM            88018T101      18,440       2,000       X   X 28-5284       2000

  TEMPLETON CHINA WORLD FD INC   COM            88018X102       8,245         850       X   X 28-5284        850

  TEMPLETON EMERGING MKTS FD I   COM            880191101         960         100       X     28-5284        100
                                                               32,640       3,400       X   X 28-5284       2000                1400

  TEMPLETON EMERG MKTS INCOME    COM            880192109      32,520       3,000       X     28-5284       3000
                                                               75,457       6,961       X   X 28-5284       5961      1000

  TEMPLETON GLOBAL INCOME FD I   COM            880198106      76,000      10,000       X     28-5284      10000
                                                               19,000       2,500       X   X 28-5284       2500
                                                               30,400       4,000       X     28-4580       4000

  TEMPLETON RUSSIA FD INC        COM            88022F105      60,600       3,000       X   X 28-5284                           3000

  TENFOLD CORP                   COM            88033A103         666       1,800       X   X 28-5284        900                 900

  TENET HEALTHCARE CORP          COM            88033G100   5,179,719      72,393       X     28-5284      68441       200      3752
                                                              451,123       6,305       X   X 28-5284       4300      1000      1005
                                                              329,130       4,600       X   X 28-1500       4600
                                                               22,538         315       X   X 28-4580        315

  TENNECO AUTOMOTIVE INC         COM            880349105         304          46       X     28-5284         46
                                                                1,868         283       X   X 28-5284        223        60

  TERADYNE INC                   COM            880770102   1,198,242      50,989       X     28-5284      35589      1600     13800
                                                              330,551      14,066       X   X 28-5284       7500      6566
                                                               42,300       1,800       X     28-4580       1800
                                                              150,400       6,400       X   X 28-4580       6400

  TERAYON COMMUNICATION SYS      COM            880775101       2,926       2,200       X     28-5284       2200
                                                                  665         500       X   X 28-5284        500

  TERRA INDS INC                 COM            880915103         324         156       X   X 28-5284        156

  TERRA NETWORKS S A             SPONSORED ADR  88100W103      23,143       3,997       X     28-5284       3137                 860
                                                               51,983       8,978       X   X 28-5284       1505                7473
                                                                   46           8       X   X 28-1500          8
0                COLUMN TOTAL                               8,278,739
0
0
0










1                                                                                                                  FILE NO. 28-1235
   PAGE   181 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                        

  TESORO PETE CORP               COM            881609101       3,100         400       X   X 28-5284        400

  TETRA TECH INC NEW             COM            88162G103     223,396      15,197       X     28-5284      15197

  TEVA PHARMACEUTICAL INDS LTD   ADR            881624209      60,102         900       X     28-5284        900
                                                                7,346         110       X   X 28-5284                  110

  TEXAS BIOTECHNOLOGY CORP       COM            88221T104       5,850       1,500       X   X 28-5284       1500

  TEXAS INDS INC                 COM            882491103     220,430       7,000       X   X 28-5284       7000

  TEXAS INSTRS INC               COM            882508104  50,905,609   2,147,916       X     28-5284    2006447     16765    124704
                                                           31,452,246   1,327,099       X   X 28-5284    1032228    250495     44376
                                                              172,252       7,268       X   X 28-1500       7268
                                                            1,048,701      44,249       X     28-4580      42711                1538
                                                            1,442,856      60,880       X   X 28-4580       9000      1310     50570

  TEXAS PAC LD TR                SUB CTF PROP I 882610108      12,240         300       X   X 28-5284        300

  THAI CAP FD INC                COM            882905102         561         300       X     28-5284        300

  TEXTRON INC                    COM            883203101     734,501      15,661       X     28-5284      15661
                                                            2,132,824      45,476       X   X 28-5284       7780     11712     25984

  TEXTRON INC                    PFD CONV $2.08 883203200      33,000         200       X   X 28-5284        200

  THERASENSE INC                 COM            883381105      60,951       3,300       X     28-5284       3300

  THERMO ELECTRON CORP           COM            883556102      24,750       1,500       X     28-5284        100                1400

  THOMAS & BETTS CORP            COM            884315102     139,202       7,484       X     28-5284       7484
                                                              274,871      14,778       X   X 28-5284       4778               10000

  THOMAS INDS INC                COM            884425109     765,446      26,578       X     28-5284      26578
                                                            1,188,461      41,266       X   X 28-5284      40666                 600

  THOR INDS INC                  COM            885160101      99,764       1,400       X   X 28-5284       1400

  THORATEC CORP                  COM NEW        885175307       5,394         600       X     28-5284        300                 300
                                                              133,654      14,867       X   X 28-5284      14867

  THORNBURG MTG INC              COM            885218107      61,008       3,100       X   X 28-5284        700      2400
                                                                7,164         364       X   X 28-4580        364
0                COLUMN TOTAL                              91,215,679
0
0
0













1                                                                                                                  FILE NO. 28-1235
   PAGE   182 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                        

  3COM CORP                      COM            885535104      15,501       3,523       X     28-5284       1823        50      1650
                                                               42,130       9,575       X   X 28-5284       9475       100
                                                                3,806         865       X   X 28-1500        865
                                                                1,056         240       X     28-4580        240

  THREE FIVE SYS INC             COM            88554L108      30,370       2,664       X   X 28-5284                 2664

  THREE RIVS BANCORP INC         COM            88562Q107      34,587       1,942       X     28-5284       1942
                                                              321,292      18,040       X   X 28-5284      18040

  3M CO                          COM            88579Y101 109,317,357     888,759       X     28-5284     817496     13479     57784
                                                          101,636,376     826,312       X   X 28-5284     457330    309786     59196
                                                              466,170       3,790       X     28-1500                 3790
                                                            4,472,895      36,365       X     28-4580      36365
                                                            4,999,212      40,644       X   X 28-4580      37522       600      2522

  TICKETS COM INC                COM NEW        88633M200         980       1,000       X     28-5284       1000

  TIDEWATER INC                  COM            886423102     181,060       5,500       X     28-5284       5100                 400
                                                                4,938         150       X   X 28-5284                            150

  TIFFANY & CO NEW               COM            886547108      36,960       1,050       X     28-5284       1000                  50
                                                            1,415,040      40,200       X   X 28-5284      27000               13200
                                                               52,835       1,501       X   X 28-1500       1501

  TIMBERLAND CO                  CL A           887100105      13,253         370       X   X 28-1500        370
                                                               53,730       1,500       X     28-4580       1500

  TIMBERLINE SOFTWARE CORP       COM            887134104       1,447         266       X   X 28-5284                            266

  TIME WARNER TELECOM INC        CL A           887319101          34          20       X   X 28-1500         20

  TIMKEN CO                      COM            887389104      22,330       1,000       X     28-5284       1000
                                                                4,466         200       X   X 28-5284        200
                                                               41,913       1,877       X     28-4580       1877

  TITAN CORP                     COM            888266103      56,699       3,100       X     28-5284       3100
                                                                1,829         100       X   X 28-5284        100

  TITANIUM METALS CORP           COM            888339108       7,000       2,000       X     28-5284       2000

  TIVO INC                       COM            888706108       2,115         570       X     28-5284        570
                                                               46,635      12,570       X   X 28-5284                          12570
0                COLUMN TOTAL                             223,284,016
0
0
0











1                                                                                                                  FILE NO. 28-1235
   PAGE   183 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  TOLL BROTHERS INC              COM            889478103     371,055      12,664       X     28-5284      12464       200
                                                            2,447,283      83,525       X   X 28-5284                          83525

  TOLLGRADE COMMUNICATIONS INC   COM            889542106     133,629       9,109       X     28-5284       9109
                                                               51,345       3,500       X   X 28-5284       2300                1200

  TOMPKINSTRUSTCO INC            COM            890110109       9,740         200       X     28-5284                            200
                                                              487,000      10,000       X     28-1500      10000

  TOO INC                        COM            890333107       3,665         119       X     28-5284        119

  TOOTSIE ROLL INDS INC          COM            890516107   3,743,713      97,088       X     28-5284      53849               43239
                                                              211,887       5,495       X   X 28-5284                           5495

  TORCHMARK CORP                 COM            891027104     206,547       5,407       X     28-5284       5407
                                                              237,604       6,220       X   X 28-5284       6220

  TORO CO                        COM            891092108       2,274          40       X   X 28-5284         40

  TOTAL FINA ELF S A             SPONSORED ADR  89151E109   1,145,949      14,165       X     28-5284      12765                1400
                                                              545,347       6,741       X   X 28-5284       6666                  75
                                                                7,362          91       X   X 28-1500         91

  TOUCH AMERICA HLDGS INC        COM            891539108      10,599       3,854       X     28-5284       3854
                                                               28,941      10,524       X   X 28-5284       2300      5824      2400

  TOWN & CTRY TR                 SH BEN INT     892081100     674,240      30,100       X     28-5284      30100

  TOYOTA MOTOR CORP              SP ADR REP2COM 892331307     236,645       4,465       X     28-5284       4465

  TOYS R US INC                  COM            892335100      20,353       1,165       X     28-5284       1165
                                                              397,443      22,750       X   X 28-5284       1250      8300     13200
                                                               52,410       3,000       X   X 28-1500       3000

  TPG N V                        SPONSORED ADR  892339102       4,181         185       X     28-5284        185

  TRACTOR SUPPLY CO              COM            892356106       7,099         100       X   X 28-5284        100

  TRANSAMERICA INCOME SHS INC    COM            893506105      10,468         400       X     28-5284        400

  TRANSATLANTIC HLDGS INC        COM            893521104       8,800         110       X     28-5284        110

  TRANSCANADA PIPELINES LTD      COM            893526103      38,300       2,500       X   X 28-5284       2500
0                COLUMN TOTAL                              11,093,879
0
0
0











1                                                                                                                  FILE NO. 28-1235
   PAGE   184 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  TRANSKARYOTIC THERAPIES INC    COM            893735100     331,660       9,200       X     28-5284       9200
                                                                3,605         100       X   X 28-5284        100

  TRANSMETA CORP DEL             COM            89376R109       2,350       1,000       X     28-5284       1000

  TRANSWITCH CORP                COM            894065101          64         100       X     28-5284        100

  TRAVELERS PPTY CAS CORP NEW    CL A           89420G109      30,975       1,750       X     28-5284       1750
                                                              289,395      16,350       X   X 28-5284        600     10000      5750

  TREDEGAR CORP                  COM            894650100      61,583       2,550       X   X 28-4580                 2550

  TREMONT CORP                   COM PAR $1.00  894745207         298          10       X     28-5284         10
                                                                  477          16       X   X 28-5284                   16

  TRI CONTL CORP                 COM            895436103     266,375      16,545       X     28-5284      12849                3696
                                                              172,785      10,732       X   X 28-5284       2689      6009      2034

  TRIAD HOSPITALS INC            COM            89579K109      76,072       1,795       X     28-5284       1756                  39
                                                                1,229          29       X   X 28-5284         22                   7
                                                               18,817         444       X   X 28-1500        444

  TRIDENT MICROSYSTEMS INC       COM            895919108      12,440       2,000       X     28-5284       2000

  TRIAD GTY INC                  COM            895925105     228,924       5,259       X   X 28-5284       5000       259

  TRIBUNE CO NEW                 COM            896047107     914,109      21,014       X     28-5284      20889       125
                                                            1,345,368      30,928       X   X 28-5284      20691      6237      4000
                                                               17,835         410       X   X 28-1500        410
                                                              522,000      12,000       X     28-4580                          12000

  TRICO BANCSHARES               COM            896095106     497,824      18,800       X     28-1500      18800

  TRIGON HEALTHCARE INC          COM            89618L100      60,348         600       X     28-5284        600

  TRIMBLE NAVIGATION LTD         COM            896239100      15,500       1,000       X     28-5284       1000
                                                               15,500       1,000       X   X 28-5284       1000

  TRIMERIS INC                   COM            896263100      88,780       2,000       X     28-5284       2000

  TRINITY INDS INC               COM            896522109         622          30       X   X 28-5284         30

  TRINTECH GROUP PLC             SPONS ADR NEW  896682200       1,563       1,250       X     28-5284       1250
0                COLUMN TOTAL                               4,976,498
0
0
0










1                                                                                                                  FILE NO. 28-1235
   PAGE   185 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  TRIQUINT SEMICONDUCTOR INC     COM            89674K103      17,788       2,775       X   X 28-5284        775                2000
                                                               16,025       2,500       X   X 28-1500       2500

  TRITON PCS HLDGS INC           CL A           89677M106      19,500       5,000       X     28-5284       5000
                                                              153,617      39,389       X   X 28-5284                          39389

  TRIZEC PROPERTIES INC          COM            89687P107      25,290       1,500       X     28-5284       1500
                                                               15,174         900       X   X 28-5284        900

  TRIZETTO GROUP INC             COM            896882107       1,283         150       X     28-5284        150

  TRIPATH IMAGING INC            COM            896942109       4,370       1,000       X     28-5284                           1000

  TROVER SOLUTIONS INC           COM            897249108       4,425         750       X     28-5284                            750

  TRUMP HOTELS & CASINO RESORT   COM            898168109       6,665       3,100       X     28-5284       3100

  TRUST CO NJ JERSEY CITY NEW    COM            898304100       4,934         192       X     28-5284        192

  TRUSTCO BK CORP N Y            COM            898349105      48,334       3,670       X     28-5284       3670

  TRUSTMARK CORP                 COM            898402102     102,200       4,000       X     28-5284       4000
                                                               71,770       2,809       X   X 28-1500       2809

  TUESDAY MORNING CORP           COM NEW        899035505       5,568         300       X     28-5284        300
                                                               37,120       2,000       X   X 28-5284       2000

  TULARIK INC                    COM            899165104      47,684       5,200       X     28-5284       5200

  TUPPERWARE CORP                COM            899896104      79,958       3,846       X     28-5284       3846
                                                              292,598      14,074       X   X 28-5284       5875      2199      6000

  TURBOCHEF TECHNOLOGIES INC     COM            900006107      30,411      11,390       X   X 28-5284      11390

  TURKISH INVT FD INC            COM            900145103      42,200      10,000       X     28-5284      10000

  TWEETER HOME ENTMT GROUP INC   COM            901167106       8,170         500       X     28-5284        500

  TWINLAB CORP                   COM            901774109       5,940      13,500       X     28-5284      13500

  II VI INC                      COM            902104108      20,678       1,400       X     28-5284        400                1000
                                                               14,770       1,000       X   X 28-5284                           1000
0                COLUMN TOTAL                               1,076,472
0
0
0













1                                                                                                                  FILE NO. 28-1235
   PAGE   186 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  TYCO INTL LTD NEW              COM            902124106  20,492,698   1,516,854       X     28-5284    1356917     24493    135444
                                                           10,949,031     810,439       X   X 28-5284     384490    357772     68177
                                                              315,404      23,346       X   X 28-1500      23346
                                                              372,525      27,574       X     28-4580      27574
                                                            1,195,338      88,478       X   X 28-4580      16844       200     71434

  TYLER TECHNOLOGIES INC         COM            902252105       4,256         800       X     28-5284        800

  TYSON FOODS INC                CL A           902494103      32,013       2,064       X     28-5284       2064
                                                               14,735         950       X   X 28-5284        750       200
                                                               15,510       1,000       X   X 28-1500       1000

  UAL CORP                       COM PAR $0.01  902549500       9,152         800       X     28-5284        800
                                                                8,580         750       X   X 28-1500        750

  UGI CORP NEW                   COM            902681105      38,168       1,195       X     28-5284       1195
                                                              644,549      20,180       X   X 28-5284      12060      8120

  UIL HLDG CORP                  COM            902748102      54,460       1,000       X     28-5284       1000
                                                              122,535       2,250       X   X 28-5284       2250

  UST INC                        COM            902911106     569,840      16,760       X     28-5284      11460                5300
                                                            1,441,600      42,400       X   X 28-5284      16400      2500     23500
                                                               68,000       2,000       X     28-1500                 2000
                                                               44,200       1,300       X     28-4580       1300

  USA TRUCK INC                  COM            902925106      97,302       8,461       X   X 28-1500       8461

  U S RESTAURANT PPTYS INC       COM            902971100       2,486         150       X   X 28-5284                  150

  US BANCORP DEL                 COM NEW        902973304  79,583,034   3,408,267       X     28-5284    2636794      5019    766454
                                                           19,337,770     828,170       X   X 28-5284     617963     32385    177822
                                                            3,479,010     148,994       X     28-1500      26400    122594
                                                               32,690       1,400       X     28-4580       1400

  U S TIMBERLANDS CO L P         COM UNITS      902977107       1,163         750       X   X 28-5284                  750

  USA INTERACTIVE                COM            902984103      45,962       1,960       X     28-5284       1960
                                                               58,625       2,500       X   X 28-5284        300       200      2000

  UQM TECHNOLOGIES INC           COM            903213106       3,640       1,000       X   X 28-5284       1000
0                COLUMN TOTAL                             139,034,276
0
0
0











1                                                                                                                  FILE NO. 28-1235
   PAGE   187 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  U S G CORP                     COM NEW        903293405      23,781       3,326       X     28-5284       3326
                                                               19,570       2,737       X   X 28-5284       2737

  USEC INC                       COM            90333E108      30,800       3,500       X     28-5284       3500

  U S LABORATORIES INC           COM            90333T105     117,000       9,000       X   X 28-5284       9000

  U S PHYSICAL THERAPY INC       COM            90337L108      40,620       2,000       X   X 28-5284       2000

  US UNWIRED INC                 COM            90338R104      21,000       7,500       X     28-5284       7500

  US ONCOLOGY INC                COM            90338W103         833         100       X   X 28-5284        100

  UBIQUITEL INC                  COM            903474302         690       1,000       X     28-5284       1000
                                                              173,846     251,950       X   X 28-5284                         251950

  ULTIMATE ELECTRS INC           COM            903849107      10,364         400       X     28-5284        400

  UNIFIRST CORP MASS             COM            904708104     126,500       5,000       X     28-5284       5000

  UNILEVER PLC                   SPON ADR NEW   904767704      89,474       2,450       X     28-5284       2450
                                                              166,385       4,556       X   X 28-5284        471      3571       514
                                                               26,075         714       X   X 28-4580        714

  UNILEVER N V                   N Y SHS NEW    904784709  13,042,166     201,268       X     28-5284     195335      2006      3927
                                                           27,346,572     422,015       X   X 28-5284     302399    109899      9717
                                                               23,134         357       X     28-4580        357

  UNION BANKSHARES INC           COM            905400107      22,750       1,000       X   X 28-5284       1000

  UNION PAC CORP                 COM            907818108  31,955,830     504,991       X     28-5284     455520      5000     44471
                                                           10,596,806     167,459       X   X 28-5284      92235     60485     14739
                                                              419,736       6,633       X     28-4580       6633
                                                               91,946       1,453       X   X 28-4580       1053       400

  UNION PLANTERS CORP            COM            908068109  13,424,033     414,706       X     28-5284     165706              249000
                                                              831,780      25,696       X   X 28-5284      25696
                                                              283,658       8,763       X   X 28-1500       8763

  UNIONBANCAL CORP               COM            908906100       3,514          75       X     28-5284         75
0                COLUMN TOTAL                              98,888,863
0
0
0











1                                                                                                                  FILE NO. 28-1235
   PAGE   188 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE

                                                                                                        
  UNISYS CORP                    COM            909214108      52,992       5,888       X     28-5284       5782                 106
                                                              198,000      22,000       X   X 28-5284      22000
                                                                  792          88       X   X 28-1500         88

  UNIT CORP                      COM            909218109      69,400       4,000       X     28-5284       4000
                                                               13,880         800       X   X 28-1500        800

  UNITED BANKSHARES INC WEST V   COM            909907107   1,714,059      58,341       X     28-5284      58341
                                                               91,666       3,120       X   X 28-5284       3120

  UNITED CAPITAL CORP            COM            909912107      85,575       3,500       X   X 28-5284       3500

  UNITED DEFENSE INDS INC        COM            91018B104      23,000       1,000       X   X 28-1500       1000

  UNITED DOMINION REALTY TR IN   COM            910197102     117,873       7,484       X     28-5284       7484
                                                            1,068,008      67,810       X   X 28-5284      53610     14200

  UNITED NATL BANCORP N J        COM            910909100      46,000       2,000       X     28-5284       2000
                                                              238,257      10,359       X   X 28-5284       8027      2332

  UNITED NAT FOODS INC           COM            911163103      56,550       2,900       X     28-5284       2900

  UNITED PARCEL SERVICE INC      CL B           911312106  58,777,849     951,868       X     28-5284     938997       880     11991
                                                            5,506,248      89,170       X   X 28-5284      57620     26960      4590
                                                              673,816      10,912       X   X 28-1500      10912
                                                              402,795       6,523       X     28-4580       6202                 321
                                                               25,132         407       X   X 28-4580        144       180        83

  UNITED RENTALS INC             COM            911363109     119,682       5,490       X   X 28-5284                           5490

  UNITED STATES CELLULAR CORP    COM            911684108     190,875       7,500       X     28-5284                           7500

  US AIRWAYS GROUP INC           COM            911905107      97,055      26,231       X     28-5284      25981       250
                                                               11,840       3,200       X   X 28-5284       2700                 500

  U S INDS INC NEW               COM            912080108       2,588         750       X     28-5284        750
                                                               12,568       3,643       X   X 28-5284       3531                 112

  UNITED STATES STL CORP NEW     COM            912909108     456,237      22,938       X     28-5284      22938
                                                              326,673      16,424       X   X 28-5284      16260        16       148
0                COLUMN TOTAL                              70,379,410
0
0
0








1                                                                                                                  FILE NO. 28-1235
   PAGE   189 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                

  UNITED TECHNOLOGIES CORP       COM            913017109  42,912,800     632,000       X     28-5284     509954      5535    116511
                                                           34,204,286     503,745       X   X 28-5284     417754     68266     17725
                                                              304,871       4,490       X     28-1500                 4490
                                                              942,724      13,884       X     28-4580      13650                 234
                                                              749,752      11,042       X   X 28-4580      10641       330        71

  UNITED THERAPEUTICS CORP DEL   COM            91307C102       6,180         500       X   X 28-5284                            500

  UNITEDHEALTH GROUP INC         COM            91324P102  10,610,737     115,901       X     28-5284      75868               40033
                                                            1,383,046      15,107       X   X 28-5284      10795      2900      1412
                                                               34,331         375       X   X 28-1500        375
                                                              814,795       8,900       X     28-4580       8900

  UNITEDGLOBALCOM                CL A           913247508      29,043      10,561       X     28-5284      10561
                                                                1,375         500       X   X 28-1500        500

  UNITIL CORP                    COM            913259107     665,457      22,271       X     28-5284      22271

  UNITRIN INC                    COM            913275103     455,102      12,723       X     28-5284      11923                 800

  UNIVERSAL CORP VA              COM            913456109      83,162       2,266       X     28-5284       2266
                                                               39,269       1,070       X   X 28-5284        470       600

  UNIVERSAL DISPLAY CORP         COM            91347P105      41,500       5,000       X   X 28-5284       5000

  UNIVERSAL ELECTRS INC          COM            913483103      14,960       1,000       X     28-5284                           1000

  UNIVERSAL HEALTH RLTY INCM T   SH BEN INT     91359E105      26,400       1,000       X     28-5284       1000
                                                               84,480       3,200       X   X 28-5284       3200

  UNIVERSAL HLTH SVCS INC        CL B           913903100      14,700         300       X     28-5284        300
                                                               19,600         400       X   X 28-5284        100                 300
                                                                9,800         200       X   X 28-1500        200

  UNIVISION COMMUNICATIONS INC   CL A           914906102     153,106       4,876       X     28-5284       4876
                                                              580,586      18,490       X   X 28-5284       1000               17490

  UNOCAL CORP                    COM            915289102     802,780      21,732       X     28-5284      21732
                                                              645,009      17,461       X   X 28-5284       9950      5444      2067
                                                               73,880       2,000       X     28-4580       2000

  UNOVA INC                      COM            91529B106      14,810       2,282       X   X 28-5284       2282
0                COLUMN TOTAL                              95,718,541
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   190 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  UNUMPROVIDENT CORP             COM            91529Y106   1,657,889      65,143       X     28-5284      65143
                                                               55,990       2,200       X   X 28-5284       2200

  URSTADT BIDDLE PPTYS INS       COM            917286106       4,020         400       X     28-5284        400

  URSTADT BIDDLE PPTYS INS       CL A           917286205       4,560         400       X     28-5284        400
                                                               11,400       1,000       X   X 28-5284                 1000
                                                               13,680       1,200       X     28-1500                 1200

  UTSTARCOM INC                  COM            918076100     312,635      15,500       X   X 28-5284                          15500

  V F CORP                       COM            918204108     794,355      20,259       X     28-5284      20259
                                                          900,704,202  22,971,288       X   X 28-5284      40300  22930988
                                                                2,157          55       X   X 28-1500         55

  VALASSIS COMMUNICATIONS INC    COM            918866104     233,965       6,410       X   X 28-5284                           6410

  VALHI INC NEW                  COM            918905100      25,555       1,635       X     28-5284       1635

  VALENTIS INC                   COM            91913E104       7,651       5,710       X   X 28-5284       5710

  VALERO L P                     COM UT LTD PRT 91913W104      35,588         975       X   X 28-5284        975

  VALERO ENERGY CORP NEW         COM            91913Y100      54,034       1,444       X     28-5284        944                 500

  VALICERT INC                   COM            91915Q105       5,820       8,083       X                   8083

  VALLEY NATL BANCORP            COM            919794107      36,474       1,312       X     28-5284                           1312
                                                              196,490       7,068       X   X 28-5284       7068

  VALSPAR CORP                   COM            920355104      36,112         800       X     28-5284        800
                                                               11,285         250       X   X 28-5284        250
                                                               30,244         670       X     28-4580        670

  VALUECLICK INC                 COM            92046N102       1,620         500       X     28-5284        500

  VALUEVISION INTL INC           CL A           92047K107       1,815         100       X   X 28-5284        100

  VAN KAMPEN MUN INCOME TR       COM            920909108       4,469         505       X     28-5284        505
                                                                8,850       1,000       X   X 28-5284       1000

  VAN KAMPEN MUN TR              SH BEN INT     920919107      62,853       4,267       X     28-5284       3267                1000
                                                               48,609       3,300       X   X 28-5284       3300

  VAN KAMPEN FLA QUALITY MUN T   COM            920921103      14,900       1,000       X   X 28-5284       1000
0                COLUMN TOTAL                             904,377,222
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   191 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                

  VAN KAMPEN OHIO QUALITY MUN    COM            920923109      10,746         600       X     28-5284        600

  VAN KAMPEN PA QUALITY MUN TR   COM            920924107     626,397      36,187       X     28-5284      36187
                                                              646,373      37,341       X   X 28-5284      28600      8741

  VAN KAMPEN TR INVT GRADE MUN   COM            920929106      84,968       5,412       X     28-5284       3045                2367
                                                                7,850         500       X   X 28-5284        500

  VAN KAMPEN TR INVT FLA MUNS    COM            920932100      15,690       1,000       X   X 28-5284       1000

  VAN KAMPEN TR INVT GRADE N J   COM            920933108      14,895         866       X     28-5284        866
                                                               33,076       1,923       X   X 28-5284       1923

  VAN KAMPEN TR INVT GRADE PA    COM            920934106   1,000,712      58,624       X     28-5284      58624
                                                               26,322       1,542       X   X 28-5284        542      1000

  VAN KAMPEN MUN OPPORTUNITY T   COM            920935103       4,842         300       X   X 28-5284        300

  VAN KAMPEN ADVANTAGE PA MUN    SH BEN INT     920937109     139,833       8,211       X     28-5284       6211                2000

  VAN KAMPEN STRATEGIC SECTOR    COM            920943107      18,943       1,334       X     28-5284        667                 667
                                                                4,260         300       X   X 28-1500        300

  VAN KAMPEN MUN OPPORTUNITY I   COM            920944105      76,950       5,400       X     28-5284       5400

  VAN KAMPEN BD FD               COM            920955101      14,800         800       X     28-5284        800

  VAN KAMPEN SENIOR INCOME TR    COM            920961109       1,257         175       X     28-5284        175
                                                              193,142      26,900       X   X 28-5284      20400                6500

  VAN KAMPEN SELECT SECTOR MUN   COM            92112M103         107           8       X     28-5284          8

  VAN KAMPEN PA VALUE MUN INCO   COM            92112T108     161,088      10,068       X     28-5284      10068
                                                                6,400         400       X   X 28-5284                  400

  VAN KAMPEN ADVANTAGE MUN INC   SH BEN INT     921124103      20,888       1,322       X   X 28-1500       1322

  VAN KAMPEN VALUE MUN INCOME    COM            921132106      17,094       1,166       X     28-5284       1166
                                                               14,660       1,000       X   X 28-5284                 1000
                                                                5,864         400       X   X 28-1500        400

  VANS INC                       COM            921930103       8,121       1,000       X     28-5284       1000
0                COLUMN TOTAL                               3,155,278
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   192 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  VARCO INTL INC DEL             COM            922122106      64,021       3,650       X     28-5284       1225                2425

  VARIAN MED SYS INC             COM            92220P105       7,948         196       X     28-5284        196
                                                              145,980       3,600       X   X 28-5284       1000       400      2200

  VARIAN INC                     COM            922206107       3,229          98       X     28-5284         98
                                                                6,590         200       X   X 28-5284                  200

  VARIAN SEMICONDUCTOR EQUIPMN   COM            922207105      13,504         398       X     28-5284        398
                                                                6,786         200       X   X 28-5284                  200

  VASOMEDICAL INC                COM            922321104       4,505       1,700       X     28-5284       1700

  VASTERA INC                    COM            92239N109      12,731       2,900       X     28-5284       2900

  VAXGEN INC                     COM NEW        922390208       2,770         500       X     28-5284        500
                                                                2,770         500       X   X 28-5284                            500
                                                                2,770         500       X   X 28-1500        500

  VECTREN CORP                   COM            92240G101     818,285      32,601       X     28-5284      30601                2000
                                                              481,619      19,188       X   X 28-5284      12670      3856      2662
                                                              146,559       5,839       X   X 28-1500       5839

  VEECO INSTRS INC DEL           COM            922417100       6,933         300       X     28-5284        300

  VELCRO INDS N V                COM            922571104      34,335       3,500       X     28-5284       3500

  VENTAS INC                     COM            92276F100     294,984      23,136       X     28-5284      16285                6851
                                                               12,368         970       X   X 28-5284        970
                                                               20,400       1,600       X     28-1500                 1600

  VANGUARD INDEX TR              EXT MKT VIPERS 922908652      33,810         600       X   X 28-5284        600

  VANGUARD INDEX TR              STK MRK VIPERS 922908769     296,960       3,200       X     28-5284       3200

  VERIDIAN CORP DEL              COM            92342R203     158,900       7,000       X   X 28-5284       7000

  VERITY INC                     COM            92343C106       7,763         700       X   X 28-5284        700
                                                                2,052         185       X   X 28-1500        185

  VERISIGN INC                   COM            92343E102      24,626       3,425       X     28-5284       3025       400
                                                               12,223       1,700       X   X 28-5284        900                 800
                                                               17,256       2,400       X   X 28-1500       2400
0                COLUMN TOTAL                               2,642,677
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   193 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  VERIZON COMMUNICATIONS         COM            92343V104 169,313,433   4,217,022       X     28-5284    3861283    120720    235019
                                                          190,538,610   4,745,669       X   X 28-5284    2674439   1546903    524327
                                                              838,493      20,884       X     28-1500                20884
                                                            5,968,458     148,654       X     28-4580     127310               21344
                                                            2,262,934      56,362       X   X 28-4580      47349      6366      2647

  VERITAS SOFTWARE CO            COM            923436109   1,807,559      91,337       X     28-5284      90026        80      1231
                                                              389,903      19,702       X   X 28-5284       9627      6509      3566
                                                                9,143         462       X     28-1500                  462
                                                                  594          30       X     28-4580         30

  VERTEL CORP                    COM            924907108         288       2,400       X     28-5284       2400

  VERSO TECHNOLOGIES INC         COM            925317109          18          36       X     28-5284         36

  VERTEX PHARMACEUTICALS INC     COM            92532F100      10,777         662       X     28-5284        662

  VERTICALNET INC                COM            92532L107         509       3,180       X     28-5284       3180

  VESTAUR SECS INC               COM            925464109     130,625       9,500       X     28-5284       9500
                                                                4,125         300       X   X 28-5284                  300

  VIAD CORP                      COM            92552R109     573,040      22,040       X     28-5284      19496                2544
                                                               75,400       2,900       X   X 28-5284                           2900
                                                                5,200         200       X   X 28-4580        200

  VIACOM INC                     CL A           925524100     735,591      16,545       X     28-5284      15165                1380
                                                              295,570       6,648       X   X 28-5284       4120      1500      1028
                                                                5,558         125       X   X 28-1500        125
                                                               66,690       1,500       X   X 28-4580       1500

  VIACOM INC                     CL B           925524308  23,027,853     518,996       X     28-5284     428603      5469     84924
                                                           11,048,618     249,011       X   X 28-5284     158932     44797     45282
                                                               39,489         890       X     28-1500                  890
                                                              108,440       2,444       X     28-4580       2444
                                                              107,464       2,422       X   X 28-4580       1700       722

  VIASYS HEALTHCARE INC          COM NEW        92553Q209       3,560         204       X     28-5284                            204

  VICAL INC                      COM            925602104         528         100       X   X 28-5284        100
                                                                3,168         600       X   X 28-1500        600
0                COLUMN TOTAL                             407,371,638
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   194 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  VICOR CORP                     COM            925815102      17,475       2,500       X     28-5284       2500
                                                                5,243         750       X   X 28-5284                            750

  VIA NET WRKS INC               COM            925912107          66          80       X     28-5284         80

  VIGNETTE CORP                  COM            926734104         788         400       X     28-5284        400
                                                                  887         450       X   X 28-1500        450

  VINA CONCHA Y TORO S A         SPONSORED ADR  927191106       8,275         250       X     28-5284        250

  VINA TECHNOLOGIES INC          COM            92719D100       2,648      12,033       X                  12333

  VINTAGE PETE INC               COM            927460105     211,344      17,760       X   X 28-5284                          17760

  VION PHARMACEUTICALS INC       COM            927624106       1,170       3,000       X     28-5284       3000

  VIRAGEN INC                    COM            927638106       1,380       2,000       X   X 28-5284       2000
                                                                6,900      10,000       X   X 28-1500      10000

  VIROPHARMA INC                 COM            928241108         715         500       X     28-5284        500
                                                                  250         175       X   X 28-1500        175

  VISIBLE GENETICS INC           COM            92829S104       1,146         600       X   X 28-5284        200                 400

  VISHAY INTERTECHNOLOGY INC     COM            928298108     210,914       9,587       X     28-5284       9587
                                                              715,990      32,545       X   X 28-5284      24565       100      7880
                                                               26,510       1,205       X   X 28-1500       1205

  VISTEON CORP                   COM            92839U107     228,805      16,113       X     28-5284      15095       208       810
                                                              121,382       8,548       X   X 28-5284       5028      3148       372
                                                                5,779         407       X     28-1500                  407
                                                                2,442         172       X     28-4580        172
                                                                  454          32       X   X 28-4580                   32

  VISUAL DATA CORP               COM NEW        928428200      50,596     202,383       X     28-5284     202383

  VISX INC DEL                   COM            92844S105      33,027       3,030       X     28-5284       3030
                                                               17,440       1,600       X   X 28-5284        200                1400

  VISUAL NETWORKS INC            COM            928444108      21,300      15,000       X     28-5284                          15000
                                                                1,982       1,396       X   X 28-5284       1396

  VITAL SIGNS INC                COM            928469105     180,750       5,000       X   X 28-5284       5000

  VITRIA TECHNOLOGY              COM            92849Q104         576         600       X   X 28-1500        600
0                COLUMN TOTAL                               1,876,234
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   195 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  VITESSE SEMICONDUCTOR CORP     COM            928497106     321,201     103,280       X     28-5284       8180               95100
                                                               38,642      12,425       X   X 28-5284       9500       925      2000
                                                                2,955         950       X   X 28-1500        950

  VIVENDI UNIVERSAL              SPON ADR NEW   92851S204     282,510      13,140       X     28-5284      11040                2100
                                                              377,777      17,571       X   X 28-5284      10296                7275
                                                                5,053         235       X   X 28-1500        235
                                                                  516          24       X     28-4580         24

  VODAVI TECHNOLOGY INC          COM            92857V102      10,605       5,000       X     28-5284       5000

  VODAFONE GROUP PLC NEW         SPONSORED ADR  92857W100   5,639,784     413,171       X     28-5284     393791      8955     10425
                                                            4,764,150     349,022       X   X 28-5284     195770    110919     42333
                                                               28,733       2,105       X     28-1500                 2105
                                                              419,410      30,726       X     28-4580      12626               18100
                                                               49,891       3,655       X   X 28-4580       3465       190

  VOLVO AKTIEBOLAGET             ADR B          928856400       5,357         263       X     28-5284        263
                                                                4,074         200       X   X 28-5284        200

  VORNADO OPERATING CO           COM            92904N103          43          50       X     28-5284         50

  VORNADO RLTY TR                SH BEN INT     929042109     182,167       3,943       X     28-5284       3793                 150
                                                              184,985       4,004       X   X 28-5284       2750                1254

  VULCAN INTL CORP               COM            929136109   2,035,521      48,178       X     28-5284      48178
                                                               81,036       1,918       X   X 28-5284       1918
                                                              802,750      19,000       X   X 28-1500      19000

  VULCAN MATLS CO                COM            929160109   9,583,615     218,804       X     28-5284      82801              136003
                                                              755,200      17,242       X   X 28-5284      15742                1500

  WCI CMNTYS INC                 COM            92923C104       5,790         200       X     28-5284        200

  WD-40 CO                       COM            929236107       3,886         140       X   X 28-5284        140

  WGL HLDGS INC                  COM            92924F106     160,580       6,200       X     28-5284       6200
                                                              125,149       4,832       X   X 28-5284       4832
                                                                5,180         200       X   X 28-1500        200

  W-H ENERGY SVCS INC            COM            92925E108       2,881         130       X     28-5284        130
                                                               92,850       4,190       X   X 28-5284       3800                 390
0                COLUMN TOTAL                              25,972,291
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   196 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  W HLDG CO INC                  COM            929251106      24,200       1,000       X     28-5284       1000
                                                              104,060       4,300       X   X 28-5284       4300

  WMX TECHNOLOGIES INC           NOTE  2.000% 1 92929QAF4     685,000       8,000       X     28-5284       2000                6000
                                                            2,055,000      24,000       X   X 28-5284      24000

  WMS INDS INC                   COM            929297109       8,502         694       X     28-5284        694
                                                                6,125         500       X   X 28-5284        500
                                                                3,675         300       X   X 28-1500        300

  W P CAREY & CO LLC             COM            92930Y107     294,863      13,105       X     28-5284       8105      5000
                                                              641,520      28,512       X   X 28-5284       9862     18650
                                                                4,838         215       X     28-4580        215

  WPP GROUP PLC                  SPON ADR NEW   929309300      14,723         334       X     28-5284        334
                                                                5,510         125       X   X 28-5284                  125

  WPS RESOURCES CORP             COM            92931B106     308,593       7,558       X     28-5284       7558
                                                              562,311      13,772       X   X 28-5284       3372       400     10000
                                                               19,721         483       X     28-4580        483
                                                               78,924       1,933       X   X 28-4580       1933

  WVS FINL CORP                  COM            929358109      31,640       2,000       X     28-5284       2000

  WABTEC CORP                    COM            929740108   3,052,322     214,198       X     28-5284      94679              119519
                                                            2,816,570     197,654       X   X 28-5284        200              197454
                                                            5,221,229     366,402       X     28-4580     366402

  WACHOVIA CORP 2ND NEW          COM            929903102  31,594,141     827,505       X     28-5284     639094     19126    169285
                                                           38,331,880   1,003,978       X   X 28-5284     482822    481682     39474
                                                            5,401,477     141,474       X     28-1500     140400      1074
                                                            1,269,638      33,254       X     28-4580      33254
                                                            1,704,050      44,632       X   X 28-4580      44632

  WADDELL & REED FINL INC        CL A           930059100      47,376       2,067       X   X 28-5284       2067

  WAL MART STORES INC            COM            931142103 171,800,686   3,123,081       X     28-5284    2823868     30461    268752
                                                          159,018,727   2,890,724       X   X 28-5284    2342802    396461    151461
                                                            1,417,058      25,760       X     28-1500                25760
                                                            2,936,984      53,390       X     28-4580      52558                 832
                                                              376,103       6,837       X   X 28-4580       5622      1115       100
0                COLUMN TOTAL                             429,837,446
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   197 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  WALGREEN CO                    COM            931422109  81,000,736   2,096,835       X     28-5284    1308404       750    787681
                                                           44,961,380   1,163,898       X   X 28-5284     967794     42864    153240
                                                            1,246,011      32,255       X     28-1500                32255
                                                            1,051,895      27,230       X     28-4580      27230
                                                               62,890       1,628       X   X 28-4580       1458       170

  WALLACE COMPUTER SERVICES IN   COM            932270101       8,600         400       X     28-5284        400
                                                               97,073       4,515       X   X 28-5284       4515

  WASHINGTON FED INC             COM            938824109     212,184       8,400       X   X 28-5284       8400

  WASHINGTON MUT INC             COM            939322103  44,420,373   1,196,992       X     28-5284    1088707     14090     94195
                                                           10,205,770     275,014       X   X 28-5284     148513     93654     32847
                                                              223,291       6,017       X   X 28-1500       6017
                                                              168,665       4,545       X     28-4580       4545
                                                              199,132       5,366       X   X 28-4580       5076       290

  WASHINGTON POST CO             CL B           939640108     149,330         274       X     28-5284        274
                                                              708,500       1,300       X   X 28-5284        150                1150
                                                              817,500       1,500       X     28-4580                           1500

  WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101     523,090      18,100       X     28-5284      18100
                                                               43,350       1,500       X   X 28-5284                 1500
                                                               72,250       2,500       X   X 28-4580       2500

  WASHINGTON TR BANCORP          COM            940610108     179,523       7,578       X   X 28-5284       7578

  WASTE CONNECTIONS INC          COM            941053100     210,027       6,723       X     28-5284       6723

  WASTE MGMT INC DEL             COM            94106L109   1,072,869      41,185       X     28-5284      39590       725       870
                                                              243,411       9,344       X   X 28-5284       6194      3150
                                                              138,794       5,328       X   X 28-1500       5328

  WATERS CORP                    COM            941848103  20,328,659     761,373       X     28-5284     366603              394770
                                                            3,266,745     122,350       X   X 28-5284       2850              119500
                                                               85,440       3,200       X     28-1500                 3200

  WATSON PHARMACEUTICALS INC     COM            942683103   1,854,161      73,374       X     28-5284      73374
                                                               40,735       1,612       X   X 28-5284        662                 950
                                                               10,108         400       X   X 28-1500        400

  WATTS INDS INC                 CL A           942749102     238,200      12,000       X   X 28-5284                          12000
0                COLUMN TOTAL                             213,840,692
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   198 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  WAVE SYSTEMS CORP              CL A           943526103      10,290       7,000       X     28-5284       7000

  WAYPOINT FINL CORP             COM            946756103     351,900      18,000       X     28-5284      18000
                                                                7,488         383       X   X 28-5284        383

  WEATHERFORD INTL INC           COM            947074100     276,480       6,400       X   X 28-5284                           6400

  WEBEX INC                      COM            94767L109      88,372       5,558       X     28-5284       5558

  WEBMETHODS INC                 COM            94768C108       7,920         800       X     28-5284        800
                                                              450,599      45,515       X                  45515

  WEBMD CORP                     COM            94769M105      35,751       6,350       X     28-5284       6350
                                                               42,225       7,500       X   X 28-5284       7500

  WEIGHT WATCHERS INTL INC NEW   COM            948626106     260,640       6,000       X   X 28-5284       6000

  WEINGARTEN RLTY INVS           SH BEN INT     948741103     198,240       5,600       X     28-5284       5600
                                                              111,227       3,142       X   X 28-5284       2542       600
                                                               98,660       2,787       X   X 28-1500       2787

  WEIS MKTS INC                  COM            948849104      11,025         300       X     28-5284        300
                                                               27,563         750       X   X 28-5284                  250       500

  WELLPOINT HEALTH NETWORK NEW   COM            94973H108     150,173       1,930       X     28-5284       1930
                                                               70,885         911       X   X 28-5284                  800       111

  WELLS FARGO & CO NEW           COM            949746101 108,366,834   2,164,739       X     28-5284    2027284      8800    128655
                                                          220,753,887   4,409,786       X   X 28-5284    4172850    190984     45952
                                                               34,341         686       X     28-1500                  686
                                                            1,109,179      22,157       X     28-4580      21874                 283
                                                              464,607       9,281       X   X 28-4580       7987      1140       154

  WELLSFORD REAL PPTYS INC       COM NEW        950240200       2,588         125       X   X 28-5284        125

  WENDYS INTL INC                COM            950590109      95,393       2,395       X     28-5284       1795                 600
                                                               70,698       1,775       X   X 28-5284        750                1025

  WERNER ENTERPRISES INC         COM            950755108     133,550       6,267       X     28-5284       6267
                                                              150,150       7,046       X   X 28-5284                           7046

  WESBANCO INC                   COM            950810101   2,361,872      99,615       X     28-5284      99615
                                                            2,623,630     110,655       X   X 28-5284      68055               42600
0                COLUMN TOTAL                             338,366,167
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   199 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  WEST PHARMACEUTICAL SVSC INC   COM            955306105     219,175       6,830       X   X 28-5284       1200                5630

  WESTCORP INC                   COM            957907108     159,750       5,000       X     28-5284       5000

  WESTERN DIGITAL CORP           COM            958102105         813         250       X     28-5284        250

  WESTERN GAS RES INC            COM            958259103      41,140       1,100       X     28-5284       1100

  WESTERN WIRELESS CORP          CL A           95988E204         800         250       X     28-5284        250
                                                                9,920       3,100       X   X 28-5284        100                3000

  WESTPAC BKG CORP               SPONSORED ADR  961214301      13,590         300       X     28-5284        300

  WESTWOOD ONE INC               COM            961815107     314,148       9,400       X   X 28-5284       3000                6400

  WET SEAL INC                   CL A           961840105     104,490       4,300       X   X 28-5284       4300

  WEYERHAEUSER CO                COM            962166104   1,237,860      19,387       X     28-5284      19287       100
                                                            1,146,299      17,953       X   X 28-5284       8480      8393      1080

  WHIRLPOOL CORP                 COM            963320106     326,735       4,999       X     28-5284       4999
                                                              191,178       2,925       X   X 28-5284       2925

  WHITNEY HLDG CORP              COM            966612103      27,666         900       X   X 28-1500        900

  WHOLE FOODS MKT INC            COM            966837106      69,437       1,440       X     28-5284       1040                 400
                                                               25,074         520       X   X 28-5284        520
                                                               28,932         600       X     28-4580        600
                                                               43,398         900       X   X 28-4580        900

  WILEY JOHN & SONS INC          CL A           968223206     134,336       5,602       X     28-5284       5602
                                                               11,990         500       X   X 28-5284                            500

  WILLBROS GROUP INC             COM            969199108      16,711         983       X   X 28-1500        983

  WILLIAMS COAL SEAM GAS RTY T   TR UNIT        969450105       1,666         240       X   X 28-5284                  240

  WILLIAMS COS INC DEL           COM            969457100     256,977      42,901       X     28-5284      41801                1100
                                                              175,417      29,285       X   X 28-5284       3305     25300       680
                                                                7,937       1,325       X   X 28-1500       1325

  WILLIAMS CLAYTON ENERGY INC    COM            969490101       2,030         175       X     28-5284        175
0                COLUMN TOTAL                               4,567,469
0
0
0




1                                                                                                                  FILE NO. 28-1235
   PAGE   200 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  WILLIAMS ENERGY PARTNERS L P   COM UNIT RP LP 969491109      26,800         800       X     28-5284        300                 500
                                                               67,000       2,000       X   X 28-5284       1000                1000

  WILLIAMS SONOMA INC            COM            969904101      61,320       2,000       X     28-5284       1000                1000
                                                              239,148       7,800       X   X 28-5284       3400                4400

  WILLOW GROVE BANCORP INC NEW   COM            97111W101      16,047       1,368       X     28-5284       1368

  WILMINGTON TRUST CORP          COM            971807102   1,969,172      64,563       X     28-5284      63663       400       500
                                                            2,649,230      86,860       X   X 28-5284      17800     63960      5100
                                                            2,205,394      72,308       X     28-4580      72308
                                                            4,130,554     135,428       X   X 28-4580     127284      5744      2400

  WILSHIRE OIL CO TEX            COM            971889100         489         139       X     28-5284        139

  WILSON GREATBATCH TECHNOLOGI   COM            972232102       2,446          96       X     28-5284         96

  WIND RIVER SYSTEMS INC         COM            973149107      11,523       2,300       X     28-5284       2300
                                                                5,010       1,000       X   X 28-5284                 1000

  WINN DIXIE STORES INC          COM            974280109      51,884       3,328       X     28-5284       2664                 664
                                                               41,999       2,694       X   X 28-5284       2694

  WINTON FINL CORP               COM            976446104       1,005         100       X     28-5284        100

  WINTRUST FINANCIAL CORP        COM            97650W108      25,928         750       X   X 28-1500        750

  WIRELESS FACILITIES INC        COM            97653A103       8,330       1,700       X     28-5284       1700

  WISCONSIN ENERGY CORP          COM            976657106     408,111      16,150       X     28-5284      14850                1300
                                                              371,722      14,710       X   X 28-5284       8965      4245      1500
                                                               11,372         450       X   X 28-1500        450
                                                               12,635         500       X   X 28-4580        500

  WISER OIL CO DEL               COM            977284108      12,666       3,588       X     28-5284       3588

  WITNESS SYS INC                COM            977424100     163,644      22,174       X   X 28-5284                          22174

  WOLVERINE TUBE INC             COM            978093102      15,100       2,000       X     28-5284                           2000

  WOLVERINE WORLD WIDE INC       COM            978097103      11,343         650       X     28-5284        650

  WOMEN FIRST HEALTHCARE         COM            978150100       7,800       1,000       X   X 28-5284       1000
0                COLUMN TOTAL                              12,527,672
0
0
0







1                                                                                                                  FILE NO. 28-1235
   PAGE   201 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  WORLD HEART CORP               COM            980905103       2,110       1,000       X     28-5284       1000

  WORLD WIRELESS COMMUNICATION   COM            98155B102         448       1,400       X     28-5284       1400

  WORLD WRESTLING ENTMT INC      CL A           98156Q108      44,968       3,080       X   X 28-5284         80                3000

  WORLDCOM INC GA NEW            WRLDCOM GP COM 98157D106     351,458     423,443       X     28-5284     402864      1355     19224
                                                              175,515     211,464       X   X 28-5284     104891     95090     11483
                                                               15,152      18,255       X   X 28-1500      18255
                                                                3,391       4,085       X     28-4580       4085
                                                                4,672       5,629       X   X 28-4580       4524      1105

  WORLDCOM INC GA NEW            MCI GROUP COM  98157D304       6,569       3,910       X     28-5284       3499        45       366
                                                                7,016       4,176       X   X 28-5284       1716      1342      1118
                                                                  469         279       X   X 28-1500        279
                                                                  138          82       X     28-4580         82
                                                                   57          34       X   X 28-4580                   34

  WORTHINGTON INDS INC           COM            981811102     495,940      27,400       X     28-5284      27200                 200
                                                              276,749      15,290       X   X 28-5284                 3600     11690

  WRIGLEY WM JR CO               COM            982526105   2,542,226      45,930       X     28-5284      42055       675      3200
                                                            2,697,039      48,727       X   X 28-5284      31907      7300      9520
                                                              465,327       8,407       X     28-4580       8407

  WYETH                          COM            983024100 182,655,027   3,567,481       X     28-5284    2962079     50078    555324
                                                          156,369,818   3,054,098       X   X 28-5284    1725129    925266    403703
                                                              158,976       3,105       X     28-1500                 3105
                                                            8,932,864     174,470       X     28-4580      88970               85500
                                                            9,804,800     191,500       X   X 28-4580     136540     14300     40660

  WYNDHAM INTL INC               CL A           983101106   1,355,668   1,168,679       X     28-5284                        1168679
                                                            8,539,004   7,361,210       X   X 28-5284                        7361210
                                                              936,788     807,576       X     28-4580     807576

  XM SATELLITE RADIO HLDGS INC   CL A           983759101      80,656      11,125       X     28-5284      11125
                                                                  399          55       X   X 28-5284                             55
                                                                3,263         450       X     28-1500                  450

  XTO ENERGY CORP                COM            98385X106      76,220       3,700       X     28-5284       3700
                                                              263,680      12,800       X   X 28-5284                          12800
0                COLUMN TOTAL                             376,266,407
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   202 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  XCEL ENERGY INC                COM            98389B100   1,074,622      64,080       X     28-5284      57991      1600      4489
                                                            1,530,782      91,281       X   X 28-5284      40776     45106      5399
                                                                2,079         124       X     28-1500                  124
                                                               51,987       3,100       X     28-4580       3100
                                                               87,271       5,204       X   X 28-4580       5204

  XILINX INC                     COM            983919101     607,853      27,100       X     28-5284       6300               20800
                                                              158,356       7,060       X   X 28-5284       5560                1500
                                                               14,131         630       X   X 28-1500        630
                                                              103,582       4,618       X     28-4580       4618

  XEROX CORP                     COM            984121103     331,995      47,632       X     28-5284      47607        25
                                                              259,117      37,176       X   X 28-5284      21476      7200      8500
                                                                  453          65       X   X 28-1500         65
                                                               27,894       4,002       X   X 28-4580       4002

  XYBERNAUT CORP                 COM            984149104       5,500      10,000       X     28-5284                          10000

  YPF SOCIEDAD ANONIMA           SPON ADR CL D  984245100         526          50       X   X 28-1500         50

  YAHOO INC                      COM            984332106     201,622      13,660       X     28-5284      12305        50      1305
                                                              216,382      14,660       X   X 28-5284       3860       900      9900
                                                               12,812         868       X     28-1500                  868
                                                                  590          40       X     28-4580         40

  YELLOW CORP                    COM            985509108     204,120       6,300       X     28-5284       6300
                                                                4,860         150       X   X 28-5284        150

  YORK WTR CO                    COM            987184108      33,000       2,000       X     28-5284       2000

  YOUNG BROADCASTING INC         CL A           987434107      96,012       5,400       X   X 28-5284                  400      5000

  YUM BRANDS INC                 WHEN ISSUED    988498101   2,797,967      95,657       X     28-5284      88276       600      6781
                                                            2,909,790      99,480       X   X 28-5284      44112     29486     25882
                                                               66,573       2,276       X   X 28-1500       2276
                                                               44,460       1,520       X     28-4580       1520
                                                               20,592         704       X   X 28-4580        104                 600

  Z SEVEN FD INC                 COM            988789103      12,900       3,000       X   X 28-5284                 3000
                                                                3,599         837       X   X 28-1500        837

  Z TEL TECHNOLOGIES INC         COM            988792107       1,660       2,000       X   X 28-5284       2000
0                COLUMN TOTAL                              10,883,087
0
0
0





1                                                                                                                  FILE NO. 28-1235
   PAGE   203 OF   203             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02
                                                                                    ITEM 6:
                                                                        ITEM 5:    INVESTMENT                   ITEM 8:
                                                 ITEM 3:    ITEM 4:    SHARES OR   DISCRETION   ITEM 7:     VOTING AUTHORITY
       ITEM 1:                      ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL   (B)SHARED   MANAGERS         (SHARES)
  NAME OF ISSUER                 TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE
                                                                                                
  ZALE CORP NEW                  COM            988858106       7,250         200       X   X 28-1500        200

  ZI CORP                        COM            988918108      13,200       3,000       X     28-5284       3000

  ZEBRA TECHNOLOGIES CORP        CL A           989207105      48,220       1,000       X     28-5284       1000
                                                                9,644         200       X   X 28-5284        200

  ZIMMER HLDGS INC               COM            98956P102  19,163,256     537,388       X     28-5284     470181      5547     61660
                                                           16,678,539     467,710       X   X 28-5284     384305     68826     14579
                                                               97,352       2,730       X     28-1500                 2730
                                                              360,309      10,104       X     28-4580       7784                2320
                                                              421,751      11,827       X   X 28-4580       9411      2240       176

  ZIONS BANCORPORATION           COM            989701107      14,588         280       X     28-5284        280
                                                               78,150       1,500       X   X 28-5284       1500

  ZORAN CORP                     COM            98975F101      17,183         750       X     28-5284        750
                                                              240,555      10,500       X   X 28-5284      10500

  ZOOM TECHNOLOGIES INC DEL      COM            98976E103         320         400       X   X 28-5284        400

  ZWEIG FD                       COM            989834106      56,158       8,914       X     28-5284       8300                 614
                                                                8,776       1,393       X   X 28-5284       1393

  ZWEIG TOTAL RETURN FD INC      COM            989837109       6,787       1,100       X     28-5284       1100

  ZOLL MED CORP                  COM            989922109      56,082       1,724       X     28-5284       1724
0                COLUMN TOTAL                              37,278,120
0                  GRANDTOTAL                          24,188,035,263
0
0






1  PAGE     1 OF     1             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/02

                                                                                                           
0          ENTITY TOTALS                                  FAIR MARKET                               ENTITY           UNITS
0
                                                           23,172,288,169                     28-5284                629,246,801
                                                              155,365,382                     28-1500                  5,192,599
                                                              596,198,379                     28-4580                 16,685,596
                                                              264,183,333                                              8,478,695
0       GRAND TOTALS                                       24,188,035,263                                            659,603,691
0   NUMBER OF ISSUES                                                3,006