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

                                      Form 13F

                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   12/31/2003

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

Institutional Investment Manager Filing this Report:

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

Form 13F File Number: 28-272

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

Person Signing this Report on Behalf of Reporting Manager:

Name:      R. J. Erickson
Title:     Senior Vice President & General Counsel
Phone:     414-765-7809

Signature, Place, and Date of Signing:

    /s/ R.J. Erickson                      Milwaukee, WI          02/05/2004
      [Signature]                          [City, State]            [Date]

Report Type (Check only one.):

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

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

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


                                Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                  3

Form 13F Information Table Entry Total:             1,054

Form 13F Information Table Value Total:             $ 2,210,911
                                                    (thousands)

List of Other Included Mangers:

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

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

    No.   Form 13F File Number                  Name
    --    --------------------  -------------------------------------

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

    05           28-274         M&I Investment Management Corp.

    06           28-6060        Attorney Harrold J. McComas




REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    1
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
ACE LTD                              G0070K103       353      8,532 SH          X               01      8,532

ACE LTD                              G0070K103         5        116 SH              X   X       01                   116

COOPER INDUSTRIES LTD CL A           G24182100     1,005     17,346 SH          X               01     17,346

COOPER INDUSTRIES LTD CL A           G24182100         6        112 SH              X   X       01                   112

INGERSOLL-RAND CO CL A               G4776G101       322      4,748 SH          X               01      4,748

INGERSOLL-RAND CO CL A               G4776G101         4         66 SH              X   X       01                    66

NABORS INDUSTRIES LTD                G6359F103       245      5,913 SH          X               01      5,913

NABORS INDUSTRIES LTD                G6359F103         7        176 SH              X   X       01                   176

NOBLE CORP                           G65422100       216      6,050 SH          X               01      6,050

NOBLE CORP                           G65422100         7        201 SH              X   X       01                   201

TRANSOCEAN INC COM                   G90078109     2,389     99,494 SH          X               01     97,579        655      1,260

TRANSOCEAN INC COM                   G90078109       360     15,012 SH              X   X       01      1,750     13,012        250

XOMA LTD                             G9825R107        79     11,920 SH          X               01     10,920                 1,000

FLEXTRONICS INTL LTD                 Y2573F102       610     41,190 SH          X               01     28,240                12,950

FLEXTRONICS INTL LTD                 Y2573F102        22      1,512 SH              X   X       01                 1,512

AAR CORP COM                         000361105       239     15,993 SH          X               01     15,993

ADC TELECOMMUNICATIONS INC COM       000886101       183     61,556 SH          X               01     61,556

ADC TELECOMMUNICATIONS INC COM       000886101         2        800 SH              X   X       01                   800

AFLAC INC COM                        001055102       363     10,030 SH          X               01      9,955                    75

AFLAC INC COM                        001055102        83      2,286 SH              X   X       01      1,600        686

AES CORP COM                         00130H105       370     39,202 SH          X               01     39,202

AES CORP COM                         00130H105        10      1,085 SH              X   X       01                 1,085

AHT CORP COM                         00130R103         0     20,000 SH          X               01     20,000

AT&T CORP COM NEW                    001957505     1,253     61,747 SH          X               01     61,207        300        240

AT&T CORP COM NEW                    001957505        97      4,787 SH              X   X    06 01        690      3,937        160

                                              ----------
         PAGE TOTAL                                8,230





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    2
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
AT&T WIRELESS COM                    00209A106       396     49,577 SH          X               01     49,477                   100

AT&T WIRELESS COM                    00209A106        52      6,500 SH              X   X       01        289      6,107        104

ABBOTT LABORATORIES COM              002824100    19,718    423,137 SH          X               01    377,223     29,699     16,215

ABBOTT LABORATORIES COM              002824100     3,062     65,700 SH              X   X   06  01     11,226     47,098      7,376

ACHIEVA DEVELOPMENT CORP COM         00447B106         3     33,000 SH          X               01     33,000

ADECCO SA SPONSORED ADR              006754105       169     10,510 SH          X               01     10,510

ADOBE SYS INC COM                    00724F101       354      9,067 SH          X               01      8,992                    75

ADOBE SYS INC COM                    00724F101         6        148 SH              X   X       01                   148

AEGON NV ORD AMER REG                007924103       184     12,438 SH          X               01     12,438

AETNA INC NEW COM                    00817Y108       326      4,824 SH          X               01      4,824

AETNA INC NEW COM                    00817Y108         6         84 SH              X   X       01                    84

AFFILIATED COMPUTER SVCS INC CL A    008190100       227      4,172 SH          X               01      4,172

AFFILIATED COMPUTER SVCS INC CL A    008190100        11        210 SH              X   X       01                   210

AIR PRODS & CHEMS INC COM            009158106       725     13,720 SH          X               01     11,020      1,700      1,000

AIR PRODS & CHEMS INC COM            009158106     1,047     19,819 SH              X   X       01     10,000      9,819

ALBERTO CULVER CO CL B CONV          013068101       233      3,700 SH          X               01      3,700

ALBERTO CULVER CO CL B CONV          013068101         4         57 SH              X   X       01                    57

ALBERTSONS INC COM                   013104104       842     37,160 SH          X               01     37,160

ALBERTSONS INC COM                   013104104         7        291 SH              X   X   06  01                   291

ALCOA INC COM                        013817101    13,112    345,043 SH          X               01    332,439      6,020      6,584

ALCOA INC COM                        013817101     1,725     45,386 SH              X   X       01      3,597     41,719         70

ALLEGHENY ENERGY INC COM             017361106       435     34,116 SH          X               01     34,116

ALLEGHENY ENERGY INC COM             017361106         9        674 SH              X   X       01                   674

ALLERGAN INC COM                     018490102       293      3,810 SH          X               01      3,208        602

ALLETE INC COM                       018522102       466     15,242 SH          X               01     14,442                   800

                                              ----------
         PAGE TOTAL                               43,412





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    3
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
ALLETE INC COM                       018522102        45      1,460 SH              X   X       01                 1,460

ALLIANT ENERGY CORP COM              018802108     1,763     70,807 SH          X               01     69,907        900

ALLIANT ENERGY CORP COM              018802108       166      6,678 SH              X   X       01                 6,678

ALLSTATE CORP COM                    020002101     2,947     68,503 SH          X               01     68,133        370

ALLSTATE CORP COM                    020002101       323      7,501 SH              X   X       01        200      7,301

ALLTEL CORP COM                      020039103     1,151     24,719 SH          X               01     14,719                10,000

ALLTEL CORP COM                      020039103        42        911 SH              X   X   06  01                   911

ALTRIA GROUP INC COM                 02209S103    78,139  1,435,859 SH          X               01  1,426,407      1,642      7,810

ALTRIA GROUP INC COM                 02209S103     7,993    146,881 SH              X   X       01      2,300    144,581

AMBAC FINL GROUP INC COM             023139108       434      6,248 SH          X               01      6,248

AMBAC FINL GROUP INC COM             023139108         7         99 SH              X   X       01                    99

AMCOL INTL CORP COM                  02341W103       737     36,287 SH              X   X       01                36,287

AMEREN CORP COM                      023608102       685     14,884 SH          X               01     14,884

AMEREN CORP COM                      023608102        74      1,606 SH              X   X   06  01        375      1,231

AMCORE FINL INC COM                  023912108       233      8,592 SH          X               01      8,592

AMCORE FINL INC COM                  023912108       415     15,297 SH              X   X       01     15,297

AMERICAN ELEC PWR INC COM            025537101     1,102     36,105 SH          X               01     36,105

AMERICAN ELEC PWR INC COM            025537101       131      4,296 SH              X   X   06  01        461      3,835

AMERICAN EXPRESS CO COM              025816109    11,027    228,640 SH          X               01    209,998      5,163     13,479

AMERICAN EXPRESS CO COM              025816109     1,870     38,775 SH              X   X   06  01      8,125     30,550        100

AMERICAN INTL GROUP INC COM          026874107    18,388    277,423 SH          X               01    256,399     10,352     10,672

AMERICAN INTL GROUP INC COM          026874107     3,020     45,560 SH              X   X   06  01     13,582     31,978

AMERICAN INTL PETROLEUM CORP COM     026909408         0     10,050 SH          X               01     10,050

AMERICAN MGMT SYS INC COM            027352103       290     19,239 SH          X               01     19,239

AMERICAN PWR CONVERSION CORP COM     029066107       297     12,122 SH          X               01     12,122

                                              ----------
         PAGE TOTAL                              131,279





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    4
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
AMERICAN PWR CONVERSION CORP COM     029066107        16        664 SH              X   X       01                   664

AMERICAN STD COS INC DEL COM         029712106       331      3,285 SH          X               01      3,285

AMERICAN STD COS INC DEL COM         029712106         8         79 SH              X   X       01                    79

AMERICAN STELLAR ENERGY INC COM      030082101         1     30,000 SH          X               01     30,000

AMERISOURCEBERGEN CORP COM           03073E105       654     11,639 SH          X               01     11,364                   275

AMERISOURCEBERGEN CORP COM           03073E105         3         54 SH              X   X       01                    54

AMERITRADE HOLDING CORP NEW COM      03074K100       418     29,600 SH          X               01     29,600

AMGEN INC COM                        031162100     8,964    145,065 SH          X               01    138,490      3,450      3,125

AMGEN INC COM                        031162100       645     10,436 SH              X   X    06 01        899      8,537      1,000

AMSOUTH BANCORPORATION COM           032165102       913     37,285 SH          X               01     36,947                   338

AMSOUTH BANCORPORATION COM           032165102        10        415 SH              X   X   06  01                   415

ANADARKO PETE CORP COM               032511107     6,615    129,672 SH          X               01    127,287      1,155      1,230

ANADARKO PETE CORP COM               032511107       779     15,266 SH              X   X    06 01        550     14,716

ANALOG DEVICES INC COM               032654105       211      4,631 SH          X               01      4,631

ANALOG DEVICES INC COM               032654105        40        873 SH              X   X       01                   873

ANCHOR BANCORP WIS INC COM           032839102        43      1,744 SH          X               01      1,744

ANCHOR BANCORP WIS INC COM           032839102       707     28,380 SH              X   X       01                28,380

ANHEUSER BUSCH COS INC COM           035229103     3,390     64,343 SH          X               01     59,552      1,500      3,291

ANHEUSER BUSCH COS INC COM           035229103     2,212     41,996 SH              X   X       01     28,544     13,452

ANTHEM INC COM                       03674B104       265      3,530 SH          X               01      3,530

ANTHEM INC COM                       03674B104         6         74 SH              X   X       01                    74

APACHE CORP COM                      037411105       500      6,162 SH          X               01      6,162

APACHE CORP COM                      037411105       129      1,589 SH              X   X       01                 1,589

APOLLO GROUP INC CL A                037604105     1,002     14,781 SH          X               01     14,781

APOLLO GROUP INC CL A                037604105         8        122 SH              X   X       01                   122

                                              ----------
         PAGE TOTAL                               27,870





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    5
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
APPLIED MATLS INC COM                038222105     8,954    399,017 SH          X               01    380,930      4,113     13,974

APPLIED MATLS INC COM                038222105     1,095     48,787 SH              X   X   06  01     16,305     32,482

ARCHER DANIELS MIDLAND CO COM        039483102     1,255     82,450 SH          X               01     82,450

ARCHER DANIELS MIDLAND CO COM        039483102         3        186 SH              X   X       01                   186

ARVINMERITOR INC COM                 043353101       695     28,805 SH          X               01     28,805

ARVINMERITOR INC COM                 043353101         1         49 SH              X   X       01                    49

ASHLAND INC COM                      044204105     1,067     24,213 SH          X               01     24,213

ASSOCIATED BANC CORP COM             045487105     8,199    191,563 SH          X               01    187,191      1,424      2,948

ASSOCIATED BANC CORP COM             045487105     2,206     51,531 SH              X   X       01      1,444     50,087

AUTOMATIC DATA PROCESSING INC COM    053015103       878     22,156 SH          X               01     20,556                 1,600

AUTOMATIC DATA PROCESSING INC COM    053015103       439     11,082 SH              X   X       01                11,082

AUTONATION INC DEL COM               05329W102       187     10,173 SH          X               01     10,173

AUTONATION INC DEL COM               05329W102         7        359 SH              X   X       01                   359

AUTOZONE INC COM                     053332102       341      3,998 SH          X               01      3,998

AUTOZONE INC COM                     053332102         6         76 SH              X   X       01                    76

AVAYA INC COM                        053499109       456     35,254 SH          X               01     35,254

AVAYA INC COM                        053499109         8        597 SH              X   X       01         21        576

AVERY DENNISON CORP COM              053611109       180      3,211 SH          X               01      3,211

AVERY DENNISON CORP COM              053611109       113      2,023 SH              X   X       01                 2,023

AVON PRODS INC COM                   054303102       202      2,987 SH          X               01      2,987

AVON PRODS INC COM                   054303102         2         36 SH              X   X       01                    36

BB&T CORP COM                        054937107     1,946     50,364 SH          X               01     49,843                   521

BB&T CORP COM                        054937107        18        453 SH              X   X   06  01                   453

BP PLC SPON ADR                      055622104    11,065    224,208 SH          X               01    206,911      8,079      9,218

BP PLC SPON ADR                      055622104     5,002    101,361 SH              X   X   06  01     11,197     87,374      2,790

                                              ----------
         PAGE TOTAL                               44,325





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    6
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
BMC SOFTWARE INC COM                 055921100     6,337    339,762 SH          X               01    324,662      4,410     10,690

BMC SOFTWARE INC COM                 055921100       727     38,986 SH              X   X    06 01     11,465     27,521

BADGER METER INC COM                 056525108    12,763    334,549 SH          X               01     28,487               306,062

BADGER METER INC COM                 056525108       290      7,600 SH              X   X       01        400      7,200

BANCO SANTANDER CENT HISPANO S A ADR 05964H105       139     11,550 SH          X               01     11,550

BANK OF AMERICA CORP COM             060505104    16,262    202,189 SH          X               01    196,602      3,141      2,446

BANK OF AMERICA CORP COM             060505104     2,125     26,415 SH              X   X   06  01      2,261     24,154

BANK MUT CORP NEW COM                063750103       251     21,998 SH          X               01     21,998

BANK MUT CORP NEW COM                063750103       330     28,975 SH              X   X       01                28,975

BANK MONTICELLO WIS CDT CAP STK      063908107       151        275 SH          X               01        275

BANK MONTICELLO WIS CDT CAP STK      063908107       123        224 SH              X   X       01                   224

BANK OF NEW YORK CO INC COM          064057102     4,220    127,419 SH          X               01    116,809      4,720      5,890

BANK OF NEW YORK CO INC COM          064057102       893     26,964 SH              X   X       01      2,727     17,487      6,750

BANK ONE CORP COM                    06423A103     3,778     82,859 SH          X               01     76,980      1,065      4,814

BANK ONE CORP COM                    06423A103     3,331     73,055 SH              X   X       01      4,763     39,285     29,007

BANTA CORP COM                       066821109       350      8,638 SH          X               01      8,638

BANTA CORP COM                       066821109        41      1,000 SH              X   X       01                 1,000

BARD C R INC COM                     067383109       417      5,137 SH          X               01      5,137

BARD C R INC COM                     067383109       835     10,273 SH              X   X       01      8,200      2,073

BAUSCH & LOMB INC COM                071707103       260      5,003 SH          X               01      5,003

BAUSCH & LOMB INC COM                071707103         3         67 SH              X   X       01                    67

BAXTER INTERNATIONAL INC COM         071813109     6,236    204,318 SH          X               01    199,668      1,000      3,650

BAXTER INTERNATIONAL INC COM         071813109       418     13,710 SH              X   X       01      2,590     10,320        800

BEAR STEARNS COS INC COM             073902108       248      3,102 SH          X               01      3,102

BEAR STEARNS COS INC COM             073902108         5         65 SH              X   X       01                    65

                                              ----------
         PAGE TOTAL                               60,533





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    7
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
BECTON DICKINSON & CO COM            075887109       308      7,491 SH          X               01      7,491

BECTON DICKINSON & CO COM            075887109         5        119 SH              X   X       01                   119

BED BATH BEYOND INC COM              075896100       589     13,581 SH          X               01     13,581

BED BATH BEYOND INC COM              075896100       297      6,852 SH              X   X       01                 6,852

BELLSOUTH CORP COM                   079860102    12,234    432,302 SH          X               01    414,732     15,288      2,282

BELLSOUTH CORP COM                   079860102     2,254     79,640 SH              X   X    06 01     29,577     46,558      3,505

BELMONT RESOURCES COM                080499106         1     28,000 SH          X               01     28,000

BEMIS INC COM                        081437105       208      4,153 SH          X               01      4,153

BERKSHIRE HATHAWAY INC CL A          084670108       674          8 SH          X               01          8

BERKSHIRE HATHAWAY INC CL A          084670108     1,011         12 SH              X   X       01                    10          2

BERKSHIRE HATHAWAY INC DEL CL B      084670207     3,094      1,099 SH          X               01      1,043         49          7

BERKSHIRE HATHAWAY INC DEL CL B      084670207       937        333 SH              X   X       01                   287         46

BEST BUY INC COM                     086516101       642     12,280 SH          X               01     12,105                   175

BEST BUY INC COM                     086516101       596     11,416 SH              X   X       01                11,416

BIG LOTS INC COM                     089302103       208     14,604 SH          X               01     14,604

BIO-KEY INTERNATIONAL INC COM        09060C101     1,318  1,107,500 SH              X   X       01             1,107,500

BIOMET INC COM                       090613100       436     12,034 SH          X               01     12,034

BIOMET INC COM                       090613100        65      1,785 SH              X   X       01                   210      1,575

BIOGEN IDEC INC COM                  09062X103       165      4,490 SH          X               01      4,490

BIOGEN IDEC INC COM                  09062X103       223      6,074 SH              X   X       01                 6,074

BLACK & DECKER CORP COM              091797100       296      5,998 SH          X               01      5,198                   800

BLACK & DECKER CORP COM              091797100         4         83 SH              X   X       01                    83

BLOCK H & R INC COM                  093671105       451      8,153 SH          X               01      8,153

BLOCK H & R INC COM                  093671105        18        326 SH              X   X       01                   326

BOEING CO COM                        097023105     6,231    147,853 SH          X               01    137,084      1,925      8,844

                                              ----------
         PAGE TOTAL                               32,265





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    8
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
BOEING CO COM                        097023105       604     14,326 SH              X   X       01      3,017     10,975        334

BOSTON SCIENTIFIC CORP COM           101137107     1,232     33,521 SH          X               01     33,521

BOSTON SCIENTIFIC CORP COM           101137107        97      2,628 SH              X   X       01                 2,628

BRADY CORP CL A                      104674106        48      1,183 SH          X               01      1,183

BRADY CORP CL A                      104674106       994     24,400 SH              X   X       01                24,400

BRIGGS & STRATTON CORP COM           109043109       125      1,858 SH          X               01      1,858

BRIGGS & STRATTON CORP COM           109043109       283      4,200 SH              X   X       01                 4,200

BRISTOL MYERS SQUIBB CO COM          110122108     9,774    341,743 SH          X               01    318,075     12,798     10,870

BRISTOL MYERS SQUIBB CO COM          110122108     2,101     73,475 SH              X   X       01      8,777     60,598      4,100

BRUNSWICK CORP COM                   117043109     1,037     32,592 SH          X               01     32,592

BRUNSWICK CORP COM                   117043109         1         27 SH              X   X       01                    27

BURLINGTON NORTHN SANTA FE CORP COM  12189T104     1,498     46,309 SH          X               01     44,409      1,300        600

BURLINGTON NORTHN SANTA FE CORP COM  12189T104       352     10,886 SH              X   X       01      1,062      5,624      4,200

BURLINGTON RES INC COM               122014103       540      9,743 SH          X               01      9,395                   348

BURLINGTON RES INC COM               122014103       276      4,985 SH              X   X       01        617      3,868        500

CIGNA CORP COM                       125509109       695     12,086 SH          X               01     12,086

CIGNA CORP COM                       125509109         0          0 SH              X   X       01

CSX CORP COM                         126408103       350      9,748 SH          X               01      9,748

CSX CORP COM                         126408103        10        277 SH              X   X       01                   277

CVS CORP COM                         126650100       619     17,142 SH          X               01     17,142

CVS CORP COM                         126650100        77      2,137 SH              X   X       01                 2,137

CADRE RESOURCES LTD COM              12763W101         3     20,000 SH          X               01     20,000

CALPINE CORP COM                     131347106       230     47,809 SH          X               01     47,809

CALPINE CORP COM                     131347106         4        895 SH              X   X       01                   895

CAMPBELL SOUP CO COM                 134429109       359     13,407 SH          X               01     13,407

                                              ----------
         PAGE TOTAL                               21,309





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    9
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
CAMPBELL SOUP CO COM                 134429109        35      1,299 SH              X   X       01                 1,299

CAPITAL ONE FINL CORP COM            14040H105       375      6,112 SH          X               01      6,112

CAPITAL ONE FINL CORP COM            14040H105         6        103 SH              X   X       01                   103

CARDINAL HEALTH INC COM              14149Y108     6,580    107,587 SH          X               01    105,769        475      1,343

CARDINAL HEALTH INC COM              14149Y108     1,079     17,649 SH              X   X   06  01      3,195     14,268        186

CARNIVAL CORP PAIRED CTF 1 COM       143658300       437     11,003 SH          X               01     11,003
CARNIVAL CORP & 1 TR SH BEN INT P&O
CARNIVAL CORP PAIRED CTF 1 COM       143658300       444     11,183 SH              X   X       01                11,183
CARNIVAL CORP & 1 TR SH BEN INT P&O
CATERPILLAR INC COM                  149123101     1,077     12,976 SH          X               01     12,906         70

CATERPILLAR INC COM                  149123101       929     11,187 SH              X   X       01      8,000      3,187

CELL THERAPEUTICS INC CDT COM        150934107       173     20,000 SH          X               01     20,000

CENDANT CORP COM                     151313103       385     17,280 SH          X               01     17,280

CENDANT CORP COM                     151313103         7        311 SH              X   X       01                   311

CENTERPOINT ENERGY INC COM           15189T107       585     60,362 SH          X               01     60,362

CENTERPOINT ENERGY INC COM           15189T107        24      2,519 SH              X   X   06  01        430      2,089

CENTEX CORP COM                      152312104       382      3,553 SH          X               01      3,553

CENTEX CORP COM                      152312104         7         62 SH              X   X       01                    62

CENTURYTEL INC COM                   156700106       216      6,621 SH          X               01      6,621

CENTURYTEL INC COM                   156700106         5        142 SH              X   X       01                   142

CHARTER ONE FINL INC COM             160903100     1,245     36,033 SH          X               01     35,838                   195

CHARTER ONE FINL INC COM             160903100         7        203 SH              X   X   06  01                   203

CHECKPOINT SYSTEMS INC COM           162825103       298     15,756 SH          X               01     15,756

CHEMICAL FINANCIAL CORP COM          163731102       522     14,349 SH          X               01     14,349

CHEMICAL FINANCIAL CORP COM          163731102       440     12,083 SH              X   X       01                12,083

CHESAPEAKE ENERGY CORP COM           165167107       136     10,000 SH              X   X       01                10,000

CHEVRON TEXACO CORP COM              166764100    28,158    325,941 SH          X               01    319,175      4,255      2,511

                                              ----------
         PAGE TOTAL                               43,552





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   10
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
CHEVRON TEXACO CORP COM              166764100     5,072     58,716 SH              X   X   06  01      7,672     49,158      1,886

CHICOS FAS INC COM                   168615102       495     13,391 SH          X               01     10,191                 3,200

CHUBB CORP COM                       171232101     8,797    129,185 SH          X               01    125,454        921      2,810

CHUBB CORP COM                       171232101       763     11,202 SH              X   X   06  01      1,075     10,127

CINCINNATI FINL CORP COM             172062101       217      5,199 SH          X               01      5,199

CINCINNATI FINL CORP COM             172062101         5        109 SH              X   X       01                   109

CINERGY CORP COM                     172474108     1,144     29,471 SH          X               01     24,356                 5,115

CINERGY CORP COM                     172474108        73      1,876 SH              X   X    06 01        500      1,376

CISCO SYS INC COM                    17275R102    14,713    607,229 SH          X               01    594,699      6,673      5,857

CISCO SYS INC COM                    17275R102     2,193     90,523 SH              X   X   06  01     14,714     75,809

CINTAS CORP COM                      172908105       247      4,935 SH          X               01      4,815                   120

CINTAS CORP COM                      172908105       248      4,944 SH              X   X       01      2,244      2,700

CITIGROUP INC COM                    172967101    25,524    525,838 SH          X               01    500,428      6,597     18,813

CITIGROUP INC COM                    172967101     3,805     78,399 SH              X   X   06  01     10,267     63,932      4,200

CITIZENS BKG CORP MICH COM           174420109       300      9,173 SH          X               01      1,173                 8,000

CITIZENS COMMUNICATIONS CO COM       17453B101       579     46,584 SH          X               01     46,584

CITIZENS COMMUNICATIONS CO COM       17453B101        31      2,527 SH              X   X       01                 2,527

CITRIX SYS INC COM                   177376100       541     25,571 SH          X               01     25,571

CITRIX SYS INC COM                   177376100         7        342 SH              X   X       01                   342

CLEAR CHANNEL COMMUNICATIONS INC COM 184502102       560     11,952 SH          X               01     11,952

CLEAR CHANNEL COMMUNICATIONS INC COM 184502102        70      1,503 SH              X   X       01      1,000        503

CLOROX CO COM                        189054109       664     13,665 SH          X               01     13,665

CLOROX CO COM                        189054109       110      2,269 SH              X   X       01        600      1,669

COCA COLA CO COM                     191216100    26,647    525,071 SH          X               01    493,977     16,679     14,415

COCA COLA CO COM                     191216100     5,115    100,791 SH              X   X    06 01     30,296     69,245      1,250

                                              ----------
         PAGE TOTAL                               97,920





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   11
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
COCA-COLA ENTERPRISES INC COM        191219104       303     13,853 SH          X               01     13,153                   700

COCA-COLA ENTERPRISES INC COM        191219104         0          7 SH              X   X       01                     7

COLGATE PALMOLIVE CO COM             194162103     3,376     67,456 SH          X               01     61,150      5,170      1,136

COLGATE PALMOLIVE CO COM             194162103     1,807     36,112 SH              X   X       01     18,600     15,512      2,000

COMCAST CORP CL A                    20030N101     1,977     60,284 SH          X               01     56,684                 3,600

COMCAST CORP CL A                    20030N101       207      6,306 SH              X   X       01      1,115      5,094         97

COMERICA INC COM                     200340107     7,937    141,584 SH          X               01    139,974        550      1,060

COMERICA INC COM                     200340107       393      7,011 SH              X   X   06  01        425      6,526         60

COMPUTER ASSOC INTL INC COM          204912109       909     33,231 SH          X               01     33,231

COMPUTER ASSOC INTL INC COM          204912109         4        152 SH              X   X       01                   152

COMPUTER SCIENCES CORP COM           205363104       338      7,632 SH          X               01      7,632

COMPUTER SCIENCES CORP COM           205363104         3         66 SH              X   X       01                    66

COMPUWARE CORP COM                   205638109       389     64,476 SH          X               01     64,476

CONAGRA FOODS INC COM                205887102     1,067     40,419 SH          X               01     38,301      1,600        518

CONAGRA FOODS INC COM                205887102        39      1,488 SH              X   X    06 01                 1,488

CONOCOPHILLIPS COM                   20825C104     5,063     77,215 SH          X               01     76,559                   656

CONOCOPHILLIPS COM                   20825C104       155      2,359 SH              X   X    06 01        200      2,059        100

CONSOLIDATED EDISON INC COM          209115104     1,095     25,452 SH          X               01     24,635        600        217

CONSOLIDATED EDISON INC COM          209115104        92      2,134 SH              X   X    06 01                 2,134

COREX GOLD CORP COM                  21870J101        24     29,700 SH          X               01     29,700

CORINTHIAN COLLEGES INC COM          218868107       526      9,479 SH          X               01      9,479

CORNING INC COM                      219350105       325     31,203 SH          X               01     31,203

CORNING INC COM                      219350105        14      1,313 SH              X   X       01                 1,313

COUNTRYWIDE FINL CORP COM            222372104     3,499     46,127 SH          X               01     44,235                 1,892

COUNTRYWIDE FINL CORP COM            222372104       147      1,943 SH              X   X       01                 1,943

                                              ----------
         PAGE TOTAL                               29,689





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   12
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
COVANCE INC COM                      222816100       225      8,396 SH          X               01      8,396

COX RADIO INC CL A                   224051102       214      8,470 SH          X               01      8,470

DTE ENERGY CO COM                    233331107       514     13,040 SH          X               01     13,040

DTE ENERGY CO COM                    233331107        44      1,126 SH              X   X   06  01                 1,126

DANAHER CORP COM                     235851102       261      2,846 SH          X               01      2,846

DANAHER CORP COM                     235851102         5         55 SH              X   X       01                    55

DEAN FOODS CO NEW COM                242370104       196      5,955 SH          X               01      5,955

DEAN FOODS CO NEW COM                242370104        21        642 SH              X   X       01                   642

DEERE & CO COM                       244199105       205      3,144 SH          X               01      3,144

DEERE & CO COM                       244199105       222      3,406 SH              X   X       01      1,200         34      2,172

DELL INC COM                         24702R101    10,248    301,591 SH          X               01    292,611        300      8,680

DELL INC COM                         24702R101     1,684     49,554 SH              X   X   06  01      1,575     47,979

DELPHI CORPORATION COM               247126105     1,006     98,560 SH          X               01     98,421                   139

DELPHI CORPORATION COM               247126105         9        854 SH              X   X   06  01                   854

DELUXE CORP COM                      248019101       405      9,804 SH          X               01      9,732                    72

DELUXE CORP COM                      248019101         7        158 SH              X   X   06  01                   158

DEUTSCHE TELEKOM AG SPONSORED ADR    251566105        22      1,213 SH          X               01      1,213

DEUTSCHE TELEKOM AG SPONSORED ADR    251566105       247     13,598 SH              X   X       01                13,598

DEVON ENERGY CORP NEW COM            25179M103       217      3,794 SH          X               01      3,794

DEVON ENERGY CORP NEW COM            25179M103        20        345 SH              X   X       01                   345

DEVRY INC DEL COM                    251893103       210      8,358 SH          X               01      8,358

DIEBOLD INC COM                      253651103        15        283 SH          X               01        283

DIEBOLD INC COM                      253651103       201      3,725 SH              X   X       01         25      3,700

DISNEY WALT CO COM                   254687106     9,305    398,848 SH          X               01    367,795     20,505     10,548

DISNEY WALT CO COM                   254687106     1,339     57,402 SH              X   X       01      4,175     52,477        750

                                              ----------
         PAGE TOTAL                               26,842





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   13
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
DOLLAR GEN CORP COM                  256669102       296     14,090 SH          X               01     14,090

DOLLAR GEN CORP COM                  256669102        18        863 SH              X   X       01                   863

DOMINION RES INC VA NEW COM          25746U109     2,155     33,764 SH          X               01     32,803                   961

DOMINION RES INC VA NEW COM          25746U109        40        634 SH              X   X   06  01                   634

DONNELLEY R R & SONS CO COM          257867101       703     23,329 SH          X               01     22,729        600

DONNELLEY R R & SONS CO COM          257867101        26        859 SH              X   X    06 01                   859

DOW CHEM CO COM                      260543103     5,177    124,530 SH          X               01    118,160      5,484        886

DOW CHEM CO COM                      260543103       821     19,751 SH              X   X    06 01      8,097     11,654

DOW JONES & CO INC COM               260561105       261      5,243 SH          X               01      3,543                 1,700

DOW JONES & CO INC COM               260561105         0          2 SH              X   X       01                     2

DU PONT E I DE NEMOURS & CO COM      263534109     6,268    136,585 SH          X               01    132,159      3,465        961

DU PONT E I DE NEMOURS & CO COM      263534109     1,314     28,634 SH              X   X    06 01      5,955     22,679

DUKE ENERGY CORP COM                 264399106     1,729     84,558 SH          X               01     73,686                10,872

DUKE ENERGY CORP COM                 264399106       110      5,369 SH              X   X    06 01      2,400      1,969      1,000

E M C CORP MASS COM                  268648102       777     60,105 SH          X               01     59,905                   200

E M C CORP MASS COM                  268648102        16      1,205 SH              X   X       01                 1,205

ENSCO INTL INC COM                   26874Q100     3,003    110,511 SH          X               01    108,721                 1,790

ENSCO INTL INC COM                   26874Q100       119      4,375 SH              X   X       01        320      4,055

EASTMAN CHEM CO COM                  277432100       217      5,477 SH          X               01      5,477

EASTMAN CHEM CO COM                  277432100        22        546 SH              X   X   06  01                   546

EATON CORP COM                       278058102       399      3,692 SH          X               01      3,692

EATON CORP COM                       278058102       446      4,135 SH              X   X       01                 4,135

EBAY INC COM                         278642103       960     14,864 SH          X               01     12,724                 2,140

EBAY INC COM                         278642103        13        207 SH              X   X       01                   207

ECOLAB INC COM                       278865100       711     25,979 SH          X               01     25,979

                                              ----------
         PAGE TOTAL                               25,601





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   14
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
ECOLAB INC COM                       278865100       392     14,313 SH              X   X       01                14,313

EDISON INTL COM                      281020107       468     21,332 SH          X               01     21,332

EDISON INTL COM                      281020107        36      1,644 SH              X   X       01                 1,644

EDWARDS LIFESCIENCES CORP COM        28176E108       676     22,473 SH          X               01     22,473

EDWARDS LIFESCIENCES CORP COM        28176E108         8        260 SH              X   X       01                   260

ELECTRONIC ARTS INC COM              285512109     1,151     24,133 SH          X               01     24,133

ELECTRONIC ARTS INC COM              285512109        22        462 SH              X   X       01                   462

EMERSON ELEC CO COM                  291011104     2,498     38,578 SH          X               01     34,678      1,400      2,500

EMERSON ELEC CO COM                  291011104     1,464     22,615 SH              X   X   06  01      2,057     20,558

ENBRIDGE ENERGY PARTNERS LP COM      29250R106       225      4,500 SH          X               01      4,500

ENBRIDGE ENERGY PARTNERS LP COM      29250R106        25        500 SH              X   X       01                   500

ENTERGY CORP NEW COM                 29364G103       981     17,177 SH          X               01     17,177

ENTERGY CORP NEW COM                 29364G103        41        717 SH              X   X    06 01                   717

EQUITY OFFICE PPTYS TR COM           294741103       801     27,960 SH          X               01     27,960

EQUITY OFFICE PPTYS TR COM           294741103        42      1,461 SH              X   X    06 01                 1,461

EQUITY RESIDENTIAL COM               29476L107       753     25,525 SH          X               01     25,525

EQUITY RESIDENTIAL COM               29476L107         7        236 SH              X   X    06 01                   236

EXELON CORPORATION COM               30161N101     1,980     29,841 SH          X               01     29,553                   288

EXELON CORPORATION COM               30161N101        53        792 SH              X   X    06 01        437        355

EXXON MOBIL CORP COM                 30231G102    49,595  1,209,635 SH          X               01  1,150,734     17,512     41,389

EXXON MOBIL CORP COM                 30231G102    28,085    684,992 SH              X   X    06 01    378,976    303,616      2,400

FPL GROUP INC COM                    302571104     1,912     29,225 SH          X               01     26,648      2,400        177

FPL GROUP INC COM                    302571104       480      7,330 SH              X   X    06 01      1,706      5,624

FAMILY DLR STORES INC COM            307000109       301      8,391 SH          X               01      8,391

FAMILY DLR STORES INC COM            307000109         7        187 SH              X   X       01                   187

                                              ----------
         PAGE TOTAL                               92,003





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   15
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
FASTENAL CO COM                      311900104       471      9,477 SH          X               01      9,307                   170

FASTENAL CO COM                      311900104       270      5,434 SH              X   X       01      5,434

FEDERAL HOME LN MTG CORP COM         313400301    12,190    209,020 SH          X               01    190,623      8,892      9,505

FEDERAL HOME LN MTG CORP COM         313400301     1,933     33,138 SH              X   X   06  01      2,100     30,638        400

FEDERAL NATL MTG ASSN COM            313586109     5,333     71,053 SH          X               01     55,996      7,175      7,882

FEDERAL NATL MTG ASSN COM            313586109     1,617     21,544 SH              X   X       01        571     20,873        100

FEDERATED DEPT STORES INC DEL COM    31410H101       967     20,527 SH          X               01     20,527

FEDERATED DEPT STORES INC DEL COM    31410H101        47      1,000 SH              X   X       01                 1,000

FEDEX CORP COM                       31428X106     6,353     94,117 SH          X               01     91,287        200      2,630

FEDEX CORP COM                       31428X106       728     10,785 SH              X   X   06  01        385     10,400

FIFTH THIRD BANCORP COM              316773100     2,676     45,284 SH          X               01     43,519                 1,765

FIFTH THIRD BANCORP COM              316773100     1,445     24,458 SH              X   X       01     10,934     13,524

FIRST BKG CTR INC CDT-CAP STK        31928P108       275      5,943 SH          X               01      5,943

FIRST FED CAP CORP COM               319960100     1,399     62,026 SH              X   X       01     17,602     44,424

FIRST DATA CORP COM                  319963104     1,146     27,897 SH          X               01     18,971      1,638      7,288

FIRST DATA CORP COM                  319963104        10        240 SH              X   X       01                   240

FIRST MID ILL BANCSHARES INC COM     320866106       570     12,178 SH          X               01                12,178

1ST SOURCE CORP COM                  336901103     1,057     49,140 SH              X   X       01                49,140

FIRST TENN NATL CORP COM             337162101       551     12,500 SH          X               01     12,500

FIRST TENN NATL CORP COM             337162101        97      2,190 SH              X   X   06  01                 2,190

FISERV INC COM                       337738108     1,713     43,317 SH          X               01     43,115                   202

FISERV INC COM                       337738108       266      6,736 SH              X   X       01        300      6,436

FIRSTENERGY CORP COM                 337932107     1,558     44,260 SH          X               01     44,260

FIRSTENERGY CORP COM                 337932107         8        228 SH              X   X   06  01                   228

FLEET BOSTON FINANCIAL CORP COM      339030108     3,972     90,998 SH          X               01     89,983                 1,015

                                              ----------
         PAGE TOTAL                               46,652





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   16
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
FLEET BOSTON FINANCIAL CORP COM      339030108       370      8,477 SH              X   X    06 01         75      8,402

FORD MTR CO DEL COM PAR $0.01        345370860     2,457    153,592 SH          X               01    152,679                   913

FORD MTR CO DEL COM PAR $0.01        345370860       674     42,154 SH              X   X    06 01      1,169     40,985

FOREST LABS INC COM                  345838106       560      9,060 SH          X               01      9,060

FOREST LABS INC COM                  345838106       673     10,898 SH              X   X       01                10,898

FORTUNE BRANDS INC COM               349631101     2,316     32,399 SH          X               01     29,925        914      1,560

FORTUNE BRANDS INC COM               349631101       545      7,630 SH              X   X       01                 7,630

FREEPORT-MCMORAN COPPER & GOLD INC   35671D857       310      7,348 SH          X               01      7,348
CL B
FREEPORT-MCMORAN COPPER & GOLD INC   35671D857         7        168 SH              X   X       01                   168
CL B
GALLAHER GROUP PLC SPONSORED ADR     363595109       288      6,770 SH          X               01      6,160                   610

GALLAHER GROUP PLC SPONSORED ADR     363595109       141      3,320 SH              X   X       01                 3,320

GANNETT INC COM                      364730101     8,969    100,600 SH          X               01     95,470      3,450      1,680

GANNETT INC COM                      364730101       986     11,055 SH              X   X    06 01                11,055

GAP INC COM                          364760108       361     15,541 SH          X               01     15,541

GAP INC COM                          364760108       645     27,798 SH              X   X       01                   798     27,000

GEHL CO COM                          368483103        35      2,450 SH          X               01      2,450

GEHL CO COM                          368483103       368     26,000 SH              X   X       01                26,000

GENENTECH INC COM NEW                368710406     5,957     63,667 SH          X               01     61,332        100      2,235

GENENTECH INC COM NEW                368710406       818      8,743 SH              X   X       01        655      8,088

GENERAL COMMUNICATION INC CL A       369385109       186     21,324 SH          X               01     21,324

GENERAL DYNAMICS CORP COM            369550108       402      4,448 SH          X               01      4,448

GENERAL DYNAMICS CORP COM            369550108         5         59 SH              X   X       01         15         44

GENERAL ELEC CO COM                  369604103    63,536  2,050,873 SH          X               01  1,861,084    113,047     76,742

GENERAL ELEC CO COM                  369604103    15,661    505,532 SH              X   X   06  01    148,496    342,424     14,612

GENERAL MILLS INC COM                370334104     2,385     52,650 SH          X               01     50,550      2,100

                                              ----------
         PAGE TOTAL                              108,655





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   17
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
GENERAL MILLS INC COM                370334104     1,035     22,857 SH              X   X       01      3,350     11,507      8,000

GENERAL MTRS CORP COM                370442105     4,233     79,266 SH          X               01     76,471        775      2,020

GENERAL MTRS CORP COM                370442105       693     12,981 SH              X   X    06 01      4,206      8,775

GENUINE PARTS CO COM                 372460105       429     12,909 SH          X               01     12,395        514

GENUINE PARTS CO COM                 372460105        87      2,635 SH              X   X    06 01                 2,635

GEORGIA PAC CORP COM GEORGIA PAC     373298108       220      7,181 SH          X               01      7,181
GROUP
GEORGIA PAC CORP COM GEORGIA PAC     373298108       344     11,214 SH              X   X       01                11,214
GROUP
GILLETTE CO COM                      375766102     8,711    237,172 SH          X               01    226,437      5,245      5,490

GILLETTE CO COM                      375766102     1,692     46,079 SH              X   X    06 01      3,015     43,064

GLACIER BANCORP INC NEW COM          37637Q105       209      6,445 SH              X   X       01                 6,445

GLAXOSMITHKLINE PLC SPONSORED ADR    37733W105     1,232     26,419 SH          X               01     24,226      2,193

GLAXOSMITHKLINE PLC SPONSORED ADR    37733W105       892     19,123 SH              X   X       01        910     18,213

GLOBAL INDUSTRIAL SERVICES COM       37939H100         0     20,000 SH          X               01     20,000

GOLDEN WEST FINL CORP DEL COM        381317106       393      3,806 SH          X               01      3,806

GOLDEN WEST FINL CORP DEL COM        381317106         6         62 SH              X   X       01                    62

GOLDMAN SACHS GROUP INC COM          38141G104     9,370     94,910 SH          X               01     91,560        300      3,050

GOLDMAN SACHS GROUP INC COM          38141G104     1,291     13,081 SH              X   X    06 01        310     12,771

GOODRICH CORP COM                    382388106       291      9,814 SH          X               01      9,814

GOODRICH CORP COM                    382388106         2         63 SH              X   X    06 01                    63

GRAINGER W W INC COM                 384802104     1,417     29,907 SH          X               01     29,907

GRAINGER W W INC COM                 384802104        57      1,200 SH              X   X       01        200      1,000

GREENPOINT FINANCIAL CORP COM        395384100        21        601 SH          X               01        601

GREENPOINT FINANCIAL CORP COM        395384100       297      8,400 SH              X   X       01                 8,400

GTECH HLDGS CORP COM                 400518106     2,237     45,202 SH          X               01     41,552                 3,650

GTECH HLDGS CORP COM                 400518106        74      1,490 SH              X   X       01                 1,490

                                              ----------
         PAGE TOTAL                               35,233





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   18
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
GUIDANT CORP COM                     401698105     7,367    122,379 SH          X               01    118,390        859      3,130

GUIDANT CORP COM                     401698105       699     11,618 SH              X   X       01        920     10,698

GUS PLC SPON-ADR                     40330M108       143     10,300 SH          X               01     10,300

HCA INC COM                          404119109     1,609     37,463 SH          X               01     36,934        350        179

HCA INC COM                          404119109       178      4,141 SH              X   X       01      1,575      2,566

HSBC HLDGS PLC SPONSORED ADR NEW     404280406       861     10,928 SH          X               01     10,273        655

HSBC HLDGS PLC SPONSORED ADR NEW     404280406       659      8,357 SH              X   X       01                 8,357

HALLIBURTON CO COM                   406216101       209      8,032 SH          X               01      7,908        124

HALLIBURTON CO COM                   406216101       117      4,500 SH              X   X       01      1,000      3,500

HARLEY DAVIDSON INC COM              412822108    13,006    273,647 SH          X               01    266,447      4,150      3,050

HARLEY DAVIDSON INC COM              412822108     1,981     41,673 SH              X   X    06 01      2,725     38,948

HARTFORD FINL SVCS GROUP INC COM     416515104     1,629     27,590 SH          X               01     27,590

HARTFORD FINL SVCS GROUP INC COM     416515104       129      2,180 SH              X   X       01                 2,180

HAWAIIAN ELEC INDS INC COM           419870100       192      4,043 SH          X               01      4,043

HAWAIIAN ELEC INDS INC COM           419870100        20        424 SH              X   X       01                   424

HEALTHEXTRAS INC COM                 422211102       236     17,600 SH          X               01     17,600

HEINZ H J CO COM                     423074103     2,328     63,911 SH          X               01     56,572                 7,339

HEINZ H J CO COM                     423074103       518     14,221 SH              X   X    06 01                14,221

HERSHEY FOODS CORP COM               427866108       545      7,079 SH          X               01      5,879      1,200

HERSHEY FOODS CORP COM               427866108       151      1,961 SH              X   X       01                 1,961

HEWLETT PACKARD CO COM               428236103     3,547    154,414 SH          X               01    153,887        327        200

HEWLETT PACKARD CO COM               428236103     1,032     44,941 SH              X   X       01     19,007     25,934

HIBERNIA CORP CL A                   428656102       273     11,621 SH          X               01     11,621

HILB ROGAL & HAMILTON CO COM         431294107       211      6,582 SH          X               01      6,582

HILTON HOTELS CORP COM               432848109       298     17,374 SH          X               01     17,374

                                              ----------
         PAGE TOTAL                               37,938





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   19
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
HILTON HOTELS CORP COM               432848109        22      1,259 SH              X   X       01        400        859

HOME DEPOT INC COM                   437076102     5,058    142,528 SH          X               01    136,335      2,400      3,793

HOME DEPOT INC COM                   437076102     1,067     30,075 SH              X   X       01      2,992     24,083      3,000

HONEYWELL INTERNATIONAL INC COM      438516106       925     27,657 SH          X               01     26,157                 1,500

HONEYWELL INTERNATIONAL INC COM      438516106       420     12,562 SH              X   X       01      1,400     10,962        200

HOUSTON EXPLORATION CO COM           442120101       256      7,000 SH          X               01      7,000

HUBBELL INC CL B                     443510201       216      4,889 SH          X               01      3,787      1,102

HUMANA INC COM                       444859102       261     11,423 SH          X               01     11,423

HUMANA INC COM                       444859102         1         39 SH              X   X       01                    39

HUNTINGTON BANCSHARES INC COM        446150104       687     30,523 SH          X               01     30,523

HUNTINGTON BANCSHARES INC COM        446150104         9        389 SH              X   X   06  01                   389

HUTCHINSON TECHNOLOGY INC COM        448407106        12        405 SH          X               01        405

HUTCHINSON TECHNOLOGY INC COM        448407106       200      6,500 SH              X   X       01                 6,500

IMS HEALTH INC COM                   449934108       273     10,974 SH          X               01     10,974

IMS HEALTH INC COM                   449934108        74      2,960 SH              X   X       01        100      2,860

ITT INDS INC COM                     450911102       458      6,168 SH          X               01      6,168

ITT INDS INC COM                     450911102        21        279 SH              X   X       01                   279

IKON OFFICE SOLUTIONS INC COM        451713101       196     16,530 SH          X               01     16,530

ILLINOIS TOOL WKS INC COM            452308109     4,535     54,049 SH          X               01     54,049

ILLINOIS TOOL WKS INC COM            452308109     2,225     26,521 SH              X   X       01      3,300     23,221

IMAGING DIAGNOSTIC SYSTEMS COM       45244W100       152    148,968 SH          X               01    148,968

ING GROEP N V SPONSORED ADR          456837103       108      4,615 SH          X               01      4,615

ING GROEP N V SPONSORED ADR          456837103       240     10,263 SH              X   X       01                10,263

INTEL CORP COM                       458140100    25,320    790,000 SH          X               01    731,705     25,845     32,450

INTEL CORP COM                       458140100     6,553    204,448 SH              X   X   06  01     27,722    145,326     31,400

                                              ----------
         PAGE TOTAL                               49,289





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   20
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
INTERACTIVE INTELLIGENCE INC COM     45839M103        69     13,180 SH              X   X       01                13,180

INTERACTIVECORP COM                  45840Q101     1,331     39,242 SH          X               01     39,242

INTERNATIONAL BUSINESS MACHS CORP    459200101    24,923    268,910 SH          X               01    248,707      5,481     14,722
COM
INTERNATIONAL BUSINESS MACHS CORP    459200101     8,029     86,629 SH              X   X    06 01     11,560     74,469        600
COM
INTERNATIONAL FLAVORS & FRAGRANCES   459506101       484     13,861 SH          X               01     13,861
INC COM
INTERNATIONAL FLAVORS & FRAGRANCES   459506101         3         86 SH              X   X       01                    86
INC COM
INTERNATIONAL GAME TECHNOLOGY COM    459902102       879     24,634 SH          X               01     22,074                 2,560

INTERNATIONAL GAME TECHNOLOGY COM    459902102        18        513 SH              X   X       01                   513

INTERNATIONAL PAPER CO COM           460146103     1,148     26,627 SH          X               01     25,027      1,600

INTERNATIONAL PAPER CO COM           460146103       205      4,744 SH              X   X       01      1,859      2,885

ISHARES TR S&P 500 INDEX FD          464287200     6,668     59,950 SH          X               01     54,600      1,200      4,150

ISHARES TR S&P 500 INDEX FD          464287200     2,536     22,800 SH              X   X       01        144     20,502      2,154

ISHARES TR S&P 500/BARRA GROWTH      464287309     1,120     20,140 SH          X               01     20,140
INDEX FD
ISHARES TR S&P 500/BARRA GROWTH      464287309         9        170 SH              X   X       01                   170
INDEX FD
ISHARES TR MSCI EAFE INDEX FD        464287465     6,056     44,275 SH          X               01     44,145        130

ISHARES TR MSCI EAFE INDEX FD        464287465     1,320      9,650 SH              X   X       01      1,260      8,390

ISHARES TR RUSSELL MIDCAP GROWTH     464287481       242      3,280 SH          X               01      3,280
INDEX FD
ISHARES TR S&P MIDCAP 400 INDEX FD   464287507     6,612     57,463 SH          X               01     55,043        420      2,000

ISHARES TR S&P MIDCAP 400 INDEX FD   464287507       247      2,144 SH              X   X       01                 2,144

ISHARES TR RUSSELL 1000 VALUE INDEX  464287598       506      8,672 SH          X               01      8,672
FD
ISHARES TR S&P MIDCAP 400/BARRA      464287606       667      5,620 SH          X               01      5,620
GROWTH INDEX FD
ISHARES TR RUSSELL 1000 INDEX FD     464287622       346      5,813 SH          X               01      4,963        850

ISHARES TR RUSSELL 1000 INDEX FD     464287622       465      7,800 SH              X   X       01                 7,800

ISHARES TR RUSSELL 2000 GROWTH INDEX 464287648       398      6,710 SH          X               01      6,710
FD
ISHARES TR RUSSELL 2000 INDEX FD     464287655     4,628     41,772 SH          X               01     41,692         80

                                              ----------
         PAGE TOTAL                               68,909





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   21
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
ISHARES TR RUSSELL 2000 INDEX FD     464287655       650      5,864 SH              X   X       01      1,443      4,120        301

ISHARES TR S&P MIDCAP 400/BARRA      464287705     2,498     22,630 SH          X               01     22,630
VALUE INDEX FD
ISHARES TR S&P MIDCAP 400/BARRA      464287705       510      4,624 SH              X   X       01        988      3,636
VALUE INDEX FD
ISHARES TR DOW JONES U S TECHNOLOGY  464287721       432      8,899 SH          X               01      8,899
SECTOR INDEX FD
ISHARES TR DOW JONES U S INDL SECTOR 464287754       201      4,100 SH          X               01      4,100
INDEX FD
ISHARES DOW JONES US HEALTHCARE      464287762     1,134     19,898 SH          X               01     19,898
SECTOR INDEX FD
ISHARES S&P SMALLCAP 600 INDEX       464287804     1,373     10,248 SH          X               01     10,183         65

ISHARES S&P SMALLCAP 600 INDEX       464287804        80        600 SH              X   X       01                   600

JDS UNIPHASE CORP COM                46612J101       240     65,976 SH          X               01     65,976

JDS UNIPHASE CORP COM                46612J101         3        738 SH              X   X       01                   738

J P MORGAN CHASE & CO COM            46625H100     8,827    240,310 SH          X               01    230,163      6,488      3,659

J P MORGAN CHASE & CO COM            46625H100       881     23,977 SH              X   X    06 01      3,969     20,008

JEFFERSON PILOT CORP COM             475070108       301      5,942 SH          X               01      5,942

JEFFERSON PILOT CORP COM             475070108        60      1,181 SH              X   X       01      1,056        125

JOHNSON & JOHNSON COM                478160104    22,478    435,122 SH          X               01    400,344     16,996     17,782

JOHNSON & JOHNSON COM                478160104     5,549    107,410 SH              X   X   06  01     23,301     64,109     20,000

JOHNSON CONTROLS INC COM             478366107     5,057     43,548 SH          X               01     41,224      2,324

JOHNSON CONTROLS INC COM             478366107     1,840     15,843 SH              X   X       01        512     14,931        400

KLA-TENCOR CORP COM                  482480100       484      8,263 SH          X               01      6,123                 2,140

KLA-TENCOR CORP COM                  482480100         3         51 SH              X   X       01                    51

KB HOME COM                          48666K109       219      3,015 SH          X               01      3,015

KB HOME COM                          48666K109         6         86 SH              X   X       01                    86

KELLOGG CO COM                       487836108     1,759     46,185 SH          X               01     46,185

KELLOGG CO COM                       487836108     5,235    137,466 SH              X   X       01      3,200    134,266

KENNAMETAL INC COM                   489170100     3,889     97,829 SH          X               01     93,874        225      3,730

                                              ----------
         PAGE TOTAL                               63,709





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   22
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
KENNAMETAL INC COM                   489170100       227      5,720 SH              X   X   06  01                 5,620        100

KERR MCGEE CORP COM                  492386107       335      7,213 SH          X               01      7,213

KERR MCGEE CORP COM                  492386107        53      1,132 SH              X   X   06  01                 1,132

KEYCORP NEW COM                      493267108     1,550     52,871 SH          X               01     52,471        400

KEYCORP NEW COM                      493267108        17        578 SH              X   X   06  01                   578

KEYSPAN CORP COM                     49337W100       737     20,040 SH          X               01     20,040

KEYSPAN CORP COM                     49337W100        36        983 SH              X   X   06  01                   983

KIMBERLY CLARK CORP COM              494368103    33,265    562,957 SH          X               01    533,995     25,629      3,333

KIMBERLY CLARK CORP COM              494368103     6,125    103,649 SH              X   X    06 01     33,492     69,157      1,000

KINDER MORGAN ENERGY PARTNERS L P    494550106       887     18,006 SH          X               01      8,006                10,000
UNIT LTD PARTNERSHIP INT
KINDER MORGAN ENERGY PARTNERS L P    494550106       472      9,580 SH              X   X       01      8,000      1,580
UNIT LTD PARTNERSHIP INT
KOHLS CORP COM                       500255104    16,926    376,640 SH          X               01    352,128     13,722     10,790

KOHLS CORP COM                       500255104     2,744     61,061 SH              X   X    06 01      7,515     52,806        740

KROGER CO COM                        501044101       711     38,432 SH          X               01     38,432

KROGER CO COM                        501044101         2         91 SH              X   X       01                    91

LSI LOGIC CORPORATION COM            502161102         9        997 SH          X               01        997

LSI LOGIC CORPORATION COM            502161102       133     15,000 SH              X   X       01                15,000

LAUDER ESTEE COS INC CL A            518439104     6,259    159,431 SH          X               01    156,713      1,778        940

LAUDER ESTEE COS INC CL A            518439104       599     15,267 SH              X   X       01      1,435     13,832

LEE ENTERPRISES INC CL B             523768208    14,354    328,838 SH          X               01                          328,838

LEHMAN BROTHERS HOLDINGS INC COM     524908100       347      4,489 SH          X               01      4,439                    50

LEHMAN BROTHERS HOLDINGS INC COM     524908100         4         49 SH              X   X       01                    49

LEXMARK INTL INC NEW CL A            529771107     2,760     35,095 SH          X               01     34,425                   670

LEXMARK INTL INC NEW CL A            529771107       160      2,036 SH              X   X    06 01                 2,036

LILLY ELI & CO COM                   532457108     9,470    134,650 SH          X               01    129,690      1,056      3,904

                                              ----------
         PAGE TOTAL                               98,182





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   23
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
LILLY ELI & CO COM                   532457108     2,493     35,452 SH              X   X       01      8,480     26,972

LINCOLN NATL CORP IND COM            534187109     2,011     49,822 SH          X               01     49,651                   171

LINCOLN NATL CORP IND COM            534187109       428     10,595 SH              X   X   06  01                10,595

LINEAR TECHNOLOGY CORP COM           535678106       365      8,668 SH          X               01      8,668

LINEAR TECHNOLOGY CORP COM           535678106        48      1,152 SH              X   X       01                 1,152

LIZ CLAIBORNE INC COM                539320101       663     18,686 SH          X               01     18,686

LIZ CLAIBORNE INC COM                539320101         4        114 SH              X   X       01                   114

LIZZADRO FARMS INC COM               53933A900        71     13,901 SH          X               01     13,901

LOCATEPLUS HOLDINGS CL B             539570200         5     30,000 SH          X               01     30,000

LOCKHEED MARTIN CORP COM             539830109       496      9,644 SH          X               01      8,972                   672

LOCKHEED MARTIN CORP COM             539830109       119      2,311 SH              X   X       01                   963      1,348

LONGVIEW FIBRE CO COM                543213102       507     41,070 SH          X               01     37,437      2,833        800

LOWES COS INC COM                    548661107     4,333     78,236 SH          X               01     74,776      1,200      2,260

LOWES COS INC COM                    548661107       432      7,799 SH              X   X       01        920      6,879

LUCENT TECHNOLOGIES INC COM          549463107        52     18,298 SH          X               01     16,850                 1,448

LUCENT TECHNOLOGIES INC COM          549463107        38     13,532 SH              X   X       01                13,532

MAF BANCORP INC COM                  55261R108       109      2,592 SH          X               01      2,592

MAF BANCORP INC COM                  55261R108        99      2,370 SH              X   X       01                 2,370

MBIA INC COM                         55262C100       179      3,019 SH          X               01      3,019

MBIA INC COM                         55262C100       300      5,059 SH              X   X       01                 5,059

MBNA CORP COM                        55262L100       645     25,968 SH          X               01     21,905                 4,063

MBNA CORP COM                        55262L100       362     14,582 SH              X   X       01                14,582

MDU RES GROUP INC COM                552690109     2,715    114,020 SH          X               01     73,520     40,500

MDU RES GROUP INC COM                552690109       455     19,119 SH              X   X       01     13,373      5,746

MGE ENERGY INC COM                   55277P104     2,355     74,868 SH          X               01     74,868

                                              ----------
         PAGE TOTAL                               19,284





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   24
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
MGE ENERGY INC COM                   55277P104        82      2,610 SH              X   X       01                 2,610

MGIC INVT CORP WIS COM               552848103     7,384    129,685 SH          X               01    125,430      1,365      2,890

MGIC INVT CORP WIS COM               552848103       993     17,440 SH              X   X       01      1,590     15,850

MANITOWOC CO INC COM                 563571108     1,033     33,107 SH          X               01     33,107

MANPOWER INC WIS COM                 56418H100     2,270     48,209 SH          X               01     43,499                 4,710

MANPOWER INC WIS COM                 56418H100        88      1,860 SH              X   X    06 01                 1,860

MARATHON OIL CORP COM                565849106       968     29,260 SH          X               01     29,260

MARATHON OIL CORP COM                565849106        99      2,999 SH              X   X    06 01                 2,999

MARCUS CORPORATION COM               566330106       332     20,250 SH              X   X       01                20,250

LEM HOLDING SA-REG                   5716119         229      1,250 SH              X   X       01                 1,250

MARSH & MCLENNAN COS COM             571748102     2,416     50,446 SH          X               01     48,544      1,380        522

MARSH & MCLENNAN COS COM             571748102       208      4,351 SH              X   X       01      1,000      3,351

MARSHALL & ILSLEY CORP COM           571834100   183,869  4,807,045 SH          X               01  2,277,546     44,218  2,485,281

MARSHALL & ILSLEY CORP COM           571834100    69,455  1,815,811 SH              X   X    06 01     92,580    719,166  1,004,065

MASCO CORP COM                       574599106       662     24,162 SH          X               01     24,162

MATTEL INC COM                       577081102       333     17,263 SH          X               01     17,263

MATTEL INC COM                       577081102         1         58 SH              X   X       01                    58

MAXIM INTEGRATED PRODUCTS COM        57772K101       316      6,378 SH          X               01      6,278                   100

MAXIM INTEGRATED PRODUCTS COM        57772K101         6        130 SH              X   X       01                   130

MAY DEPT STORES CO COM               577778103       615     21,142 SH          X               01     20,864                   278

MAY DEPT STORES CO COM               577778103        18        605 SH              X   X   06  01                   605

MAYTAG CORP COM                      578592107       837     30,062 SH          X               01     30,062

MAYTAG CORP COM                      578592107         5        164 SH              X   X   06  01                   164

MCCORMICK & CO INC COM NON VTG       579780206       249      8,277 SH          X               01      8,277

MCCORMICK & CO INC COM NON VTG       579780206         6        199 SH              X   X       01                   199

                                              ----------
         PAGE TOTAL                              272,474





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   25
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
MCDONALDS CORP COM                   580135101     1,957     78,830 SH          X               01     76,950      1,880

MCDONALDS CORP COM                   580135101     1,200     48,348 SH              X   X       01     32,372     15,476        500

MCGRAW HILL COS INC COM              580645109     4,133     59,104 SH          X               01     48,208     10,896

MCGRAW HILL COS INC COM              580645109       279      3,989 SH              X   X       01                 3,989

MEADWESTVACO CORP COM                583334107     1,517     50,976 SH          X               01     50,976

MEADWESTVACO CORP COM                583334107       665     22,351 SH              X   X   06  01                22,351

MEDCO HEALTH SOLUTIONS INC COM       58405U102     1,126     33,117 SH          X               01     32,334         24        759

MEDCO HEALTH SOLUTIONS INC COM       58405U102       162      4,761 SH              X   X       01         21      4,728         12

MEDIMMUNE INC COM                    584699102     3,888    153,186 SH          X               01    149,526                 3,660

MEDIMMUNE INC COM                    584699102       285     11,215 SH              X   X   06  01        340     10,875

MEDTRONIC INC COM                    585055106     2,688     55,299 SH          X               01     49,749         58      5,492

MEDTRONIC INC COM                    585055106       640     13,175 SH              X   X       01      1,920     11,255

MELLON FINANCIAL CORP COM            58551A108       206      6,413 SH          X               01      6,413

MELLON FINANCIAL CORP COM            58551A108        91      2,847 SH              X   X       01        520      2,327

MERCANTILE BANCORP -QUINCY COM       58734P105       210      3,935 SH          X               01      3,935

MERCHANTS FINANCIAL GROUP INC COM    588538108       206      7,104 SH          X               01      4,320                 2,784

MERCK & CO INC COM                   589331107    32,065    694,056 SH          X               01    652,729     22,189     19,138

MERCK & CO INC COM                   589331107     6,033    130,583 SH              X   X   06  01     46,717     82,966        900

MERCURY INTERACTIVE CORP COM         589405109       295      6,071 SH          X               01      6,071

MERCURY INTERACTIVE CORP COM         589405109         5        111 SH              X   X       01                   111

MEREDITH CORP COM                    589433101       248      5,081 SH          X               01      5,081

MEREDITH CORP COM                    589433101         6        117 SH              X   X       01                   117

MERRILL LYNCH & CO INC COM           590188108     1,074     18,309 SH          X               01     17,833                   476

MERRILL LYNCH & CO INC COM           590188108        55        930 SH              X   X       01        400        530

METLIFE INC COM                      59156R108       464     13,777 SH          X               01     13,777

                                              ----------
         PAGE TOTAL                               59,498





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   26
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
METLIFE INC COM                      59156R108        49      1,463 SH              X   X       01                 1,463

MICHIGAN HERITAGE BANCORP INC COM    59451T106       209     20,000 SH          X               01                           20,000

MICROSOFT CORP COM                   594918104    33,340  1,218,129 SH          X            06 01  1,101,967     43,648     72,514

MICROSOFT CORP COM                   594918104     5,918    216,223 SH              X   X       01     38,943    177,080        200

MICRON TECHNOLOGY INC COM            595112103        27      2,000 SH          X               01      2,000

MICRON TECHNOLOGY INC COM            595112103       134      9,957 SH              X   X       01                 9,957

MIDCAP SPDR TR UNIT SER 1 STANDARD & 595635103     4,962     47,077 SH          X               01     47,077
POORS
MIDCAP SPDR TR UNIT SER 1 STANDARD & 595635103     1,049      9,957 SH              X   X       01      1,240      8,717
POORS
MINEX RES INC                        603470105         1    135,000 SH              X   X       01               135,000
COM
MODINE MFG CO COM                    607828100    16,671    617,891 SH          X               01      9,505               608,386

MODINE MFG CO COM                    607828100       526     19,500 SH              X   X       01                19,500

MOLEX INC COM                        608554101       236      6,753 SH          X               01      6,753

MOLEX INC COM                        608554101        18        513 SH              X   X       01                   513

MOODYS CORP COM                      615369105       640     10,566 SH          X               01     10,566

MOODYS CORP COM                      615369105        48        793 SH              X   X       01                   793

MORGAN STANLEY COM                   617446448     7,341    126,854 SH          X               01    124,036      1,390      1,428

MORGAN STANLEY COM                   617446448       982     16,968 SH              X   X       01        920     15,048      1,000

MOTOROLA INC COM                     620076109       792     56,573 SH          X               01     56,573

MOTOROLA INC COM                     620076109       218     15,540 SH              X   X       01     10,500      5,040

MURPHY OIL CORP COM                  626717102       270      4,135 SH          X               01      1,905                 2,230

NASDAQ 100 TR UNIT SER 1             631100104       729     19,994 SH          X               01     19,994

NASDAQ 100 TR UNIT SER 1             631100104        95      2,600 SH              X   X       01                 2,600

NATCOM BANCSHARES INC COM            633318910       545      1,080 SH          X               01      1,080

NATIONAL CITY CORP COM               635405103     2,666     78,547 SH          X               01     77,955                   592

NATIONAL CITY CORP COM               635405103        50      1,477 SH              X   X   06  01                 1,477

                                              ----------
         PAGE TOTAL                               77,516





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   27
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
NATIONAL FUEL GAS CO N J COM         636180101       149      6,108 SH          X               01      6,108

NATIONAL FUEL GAS CO N J COM         636180101        67      2,760 SH              X   X       01      1,760      1,000

NATIONAL SEMICONDUCTOR CORP COM      637640103     2,983     75,691 SH          X               01     69,591                 6,100

NATIONAL SEMICONDUCTOR CORP COM      637640103        79      2,009 SH              X   X       01                 2,009

NETWORK APPLIANCE INC COM            64120L104       292     14,303 SH          X               01     14,303

NETWORK APPLIANCE INC COM            64120L104         4        174 SH              X   X       01                   174

NEWELL RUBBERMAID INC COM            651229106       691     30,359 SH          X               01     27,772      2,587

NEWELL RUBBERMAID INC COM            651229106       190      8,345 SH              X   X   06  01      7,260      1,085

NEWMONT MNG CORP COM                 651639106       344      7,067 SH          X               01      7,067

NEWMONT MNG CORP COM                 651639106       107      2,196 SH              X   X       01                 2,196

NEXTEL COMMUNICATIONS INC CL A       65332V103       876     31,224 SH          X               01     31,224

NEXTEL COMMUNICATIONS INC CL A       65332V103        11        390 SH              X   X       01                   390

NIKE INC CL B                        654106103     3,039     44,386 SH          X               01     43,686                   700

NIKE INC CL B                        654106103       173      2,532 SH              X   X    06 01                 2,532

NISOURCE INC COM                     65473P105     1,053     48,006 SH          X               01     48,006

NISOURCE INC COM                     65473P105        29      1,318 SH              X   X       01        200      1,118

NOKIA CORP SPONSORED ADR             654902204       463     27,261 SH          X               01     27,136                   125

NOKIA CORP SPONSORED ADR             654902204       349     20,545 SH              X   X       01      1,200     15,025      4,320

NOBLE METAL GROUP INC COM            65506F108         5     50,000 SH          X               01     50,000

NORFOLK SOUTHN CORP COM              655844108       318     13,431 SH          X               01     13,431

NORFOLK SOUTHN CORP COM              655844108        11        453 SH              X   X       01                   453

NORTEL NETWORKS CORP NEW COM         656568102       313     73,950 SH          X               01     72,450                 1,500

NORTH AMERN GROUP LTD COM            656867108         0     11,348 SH          X               01     11,348

NORTH AMERN GROUP LTD COM            656867108         0         48 SH              X   X       01                    48

NORTH FORK BANCORPORATION INC NY COM 659424105        96      2,372 SH          X               01      2,372

                                              ----------
         PAGE TOTAL                               11,642





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   28
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
NORTH FORK BANCORPORATION INC NY COM 659424105       188      4,638 SH              X   X       01                 4,638

NORTHERN TR CORP COM                 665859104       316      6,832 SH          X               01      6,332                   500

NORTHERN TR CORP COM                 665859104        93      2,000 SH              X   X       01                 2,000

NORTHROP GRUMMAN CORP COM            666807102     3,301     34,531 SH          X               01     34,181        150        200

NORTHROP GRUMMAN CORP COM            666807102       462      4,831 SH              X   X       01        100      4,731

NUCOR CORP COM                       670346105       967     17,276 SH          X               01     17,276

NUCOR CORP COM                       670346105         1         21 SH              X   X       01                    21

NVIDIA CORP COM                      67066G104       244     10,508 SH          X               01     10,508

NVIDIA CORP COM                      67066G104         7        321 SH              X   X       01                   321

OCCIDENTAL PETE CORP COM             674599105     1,596     37,785 SH          X               01     37,785

OCCIDENTAL PETE CORP COM             674599105       181      4,277 SH              X   X    06 01      2,100      2,177

OLD NATL BANCORP IND COM             680033107       333     14,552 SH          X               01     14,552

OLD REPUBLIC INTL CORP COM           680223104       126      4,950 SH          X               01      4,950

OLD REPUBLIC INTL CORP COM           680223104     7,768    306,289 SH              X   X       01               306,289

OMNICOM GROUP COM                    681919106       438      5,021 SH          X               01      4,521                   500

OMNICOM GROUP COM                    681919106        24        275 SH              X   X       01                   275

ORACLE CORP COM                      68389X105     9,465    715,447 SH          X               01    702,682      1,765     11,000

ORACLE CORP COM                      68389X105     1,156     87,342 SH              X   X   06  01      6,398     80,944

OSHKOSH TRUCK CORP COM               688239201       647     12,680 SH          X               01     11,066                 1,614

OSHKOSH TRUCK CORP COM               688239201     1,419     27,800 SH              X   X       01                27,800

OUTBACK STEAKHOUSE INC COM           689899102     4,970    112,408 SH          X               01    106,848        250      5,310

OUTBACK STEAKHOUSE INC COM           689899102       264      5,980 SH              X   X    06 01        350      5,630

PG&E CORP COM                        69331C108       207      7,437 SH          X               01      7,437

PG&E CORP COM                        69331C108         3         91 SH              X   X       01                    91

PNC FINL SVCS GROUP INC COM          693475105     1,600     29,242 SH          X               01     28,972                   270

                                              ----------
         PAGE TOTAL                               35,776





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   29
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
PNC FINL SVCS GROUP INC COM          693475105        74      1,350 SH              X   X    06 01                 1,350

PPG INDS INC COM                     693506107     1,641     25,625 SH          X               01     25,625

PPG INDS INC COM                     693506107       305      4,759 SH              X   X       01      4,000        759

PPL CORP COM                         69351T106       596     13,624 SH          X               01     13,624

PPL CORP COM                         69351T106         8        188 SH              X   X    06 01                   188

PARKER HANNIFIN CORP COM             701094104    10,574    177,713 SH          X               01    173,135        873      3,705

PARKER HANNIFIN CORP COM             701094104       759     12,752 SH              X   X    06 01        565     12,187

PATTERSON DENTAL CO COM              703412106       201      3,147 SH          X               01      3,147

PATTERSON DENTAL CO COM              703412106        26        400 SH              X   X       01                   400

PAYCHEX INC COM                      704326107       555     14,927 SH          X               01     14,702                   225

PAYCHEX INC COM                      704326107        18        482 SH              X   X       01        300        182

PEOPLES ENERGY CORP COM              711030106       473     11,241 SH          X               01     11,094                   147

PEOPLES ENERGY CORP COM              711030106         4        105 SH              X   X    06 01                   105

PEPSICO INC COM                      713448108    13,601    291,740 SH          X               01    271,423     12,503      7,814

PEPSICO INC COM                      713448108     2,889     61,979 SH              X   X    06 01      9,445     48,904      3,630

PERKINELMER INC COM                  714046109       206     12,058 SH          X               01     12,058

PERKINELMER INC COM                  714046109         4        210 SH              X   X       01                   210

PFIZER INC COM                       717081103    49,148  1,391,115 SH          X               01  1,308,425     33,933     48,757

PFIZER INC COM                       717081103     7,795    220,646 SH              X   X    06 01     27,676    177,170     15,800

PHOTOCHANNEL NETWORKS INC COM        719316101        20     64,800 SH          X               01     64,800

PINNACLE WEST CAP CORP COM           723484101       648     16,190 SH          X               01     15,890        300

PINNACLE WEST CAP CORP COM           723484101        24        600 SH              X   X       01                   600

PITNEY BOWES INC COM                 724479100       807     19,855 SH          X               01     19,185        240        430

PITNEY BOWES INC COM                 724479100        24        584 SH              X   X   06  01                   584

PLUM CREEK TIMBER CO INC COM         729251108       849     27,889 SH          X               01     27,667                   222

                                              ----------
         PAGE TOTAL                               91,249





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   30
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
PLUM CREEK TIMBER CO INC COM         729251108        98      3,217 SH              X   X    06 01      1,600      1,617

POWELL INDS INC COM                  739128106       540     28,200 SH              X   X       01                28,200

PRAXAIR INC COM                      74005P104       321      8,392 SH          X               01      6,392                 2,000

PRAXAIR INC COM                      74005P104         4        102 SH              X   X       01                   102

PRINCIPAL FINANCIAL GROUP INC COM    74251V102       448     13,540 SH          X               01     13,362        178

PRINCIPAL FINANCIAL GROUP INC COM    74251V102         5        164 SH              X   X       01                   164

PROCTER & GAMBLE CO COM              742718109    18,933    189,555 SH          X               01    180,669      2,052      6,834

PROCTER & GAMBLE CO COM              742718109    10,478    104,909 SH              X   X    06 01     11,033     93,876

PROGRESS ENERGY INC COM              743263105     1,453     32,111 SH          X               01     31,881                   230

PROGRESS ENERGY INC COM              743263105        38        844 SH              X   X    06 01                   844

PROGRESSIVE CORP OH COM              743315103       650      7,771 SH          X               01      7,771

PROGRESSIVE CORP OH COM              743315103        17        201 SH              X   X       01                   201

PROTECTIVE LIFE CORP COM             743674103       214      6,329 SH          X               01      6,329

PROVIDIAN FINL CORP COM              74406A102       349     29,995 SH          X               01     29,995

PROVIDIAN FINL CORP COM              74406A102         7        602 SH              X   X       01                   602

PRUDENTIAL FINL INC COM              744320102       748     17,896 SH          X               01     17,896

PRUDENTIAL FINL INC COM              744320102         7        164 SH              X   X       01                   164

PUBLIC SVC ENTERPRISE GROUP INC COM  744573106       805     18,384 SH          X               01     18,384

PUBLIC SVC ENTERPRISE GROUP INC COM  744573106        25        571 SH              X   X    06 01                   571

PULTE HOMES INC COM                  745867101       256      2,737 SH          X               01      2,737

PULTE HOMES INC COM                  745867101         3         36 SH              X   X       01                    36

QLOGIC CORP COM                      747277101       377      7,304 SH          X               01      7,304

QLOGIC CORP COM                      747277101         7        143 SH              X   X       01                   143

QUALCOMM INC COM                     747525103       871     16,152 SH          X               01     16,152

QUALCOMM INC COM                     747525103       316      5,852 SH              X   X       01                 5,852

                                              ----------
         PAGE TOTAL                               36,970





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   31
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
QUALIFIED HSG PARTNERS LTD           747527901        20     20,000 SH          X               01     20,000
PARTNERSHIP
QUANTECH LTD COM NEW                 74762K306         0      5,000 SH          X               01      5,000

QUANTECH LTD COM NEW                 74762K306         0      5,912 SH              X   X       01                 5,912

QUEST DIAGNOSTICS INC COM            74834L100       314      4,293 SH          X               01      4,293

QUEST DIAGNOSTICS INC COM            74834L100         8        111 SH              X   X       01                   111

QWEST COMMUNICATIONS INTL COM        749121109        50     11,661 SH          X               01     11,661

QWEST COMMUNICATIONS INTL COM        749121109         7      1,733 SH              X   X       01                 1,614        119

RADIOSHACK CORP COM                  750438103     3,060     99,734 SH          X               01     99,734

RADIOSHACK CORP COM                  750438103        26        852 SH              X   X       01         50        802

RAYTHEON CO COM NEW                  755111507     1,084     36,082 SH          X               01     36,082

RAYTHEON CO COM NEW                  755111507       106      3,542 SH              X   X    06 01      1,920      1,622

REGAL BELOIT CORP COM                758750103    14,400    654,547 SH          X               01    652,547      2,000

REGAL BELOIT CORP COM                758750103       198      9,000 SH              X   X       01                 9,000

REGIONS FINANCIAL CORP COM           758940100       884     23,752 SH          X               01     23,752

REGIONS FINANCIAL CORP COM           758940100        14        377 SH              X   X    06 01                   377

REYNOLDS RJ TOB HLDGS INC COM        76182K105       402      6,905 SH          X               01      6,905

REYNOLDS RJ TOB HLDGS INC COM        76182K105         3         60 SH              X   X       01                    60

ROCKWELL AUTOMATION INC COM          773903109     1,699     47,732 SH          X               01     46,732                 1,000

ROCKWELL AUTOMATION INC COM          773903109       182      5,113 SH              X   X       01        300      1,113      3,700

ROCKWELL COLLINS INC COM             774341101     1,388     46,231 SH          X               01     45,231                 1,000

ROCKWELL COLLINS INC COM             774341101        70      2,338 SH              X   X       01        300      2,038

ROYAL DUTCH PETE CO N Y REGISTRY SH  780257804     7,157    136,604 SH          X               01    122,339      7,115      7,150
PAR N GLDR 1.25
ROYAL DUTCH PETE CO N Y REGISTRY SH  780257804     2,021     38,580 SH              X   X   06  01     14,252     23,928        400
PAR N GLDR 1.25
SBC COMMUNICATIONS INC COM           78387G103    24,961    957,471 SH          X               01    927,236     16,162     14,073

SBC COMMUNICATIONS INC COM           78387G103     5,233    200,729 SH              X   X   06  01     27,095    164,550      9,084

                                              ----------
         PAGE TOTAL                               63,287





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   32
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
SLM CORP COM                         78442P106       333      8,836 SH          X               01      8,836

SLM CORP COM                         78442P106         5        141 SH              X   X       01                   141

SPDR TR UNIT SER 1 STANDARD & POORS  78462F103     9,200     82,676 SH          X               01     82,076        600

SPDR TR UNIT SER 1 STANDARD & POORS  78462F103     1,725     15,497 SH              X   X       01                15,497

SAFECO CORP COM                      786429100       482     12,371 SH          X               01     12,371

SAFECO CORP COM                      786429100         8        203 SH              X   X       01                   203

ST JOE CO COM                        790148100       298      8,000 SH          X               01      8,000

ST JOE CO COM                        790148100         7        200 SH              X   X       01                   200

ST JUDE MED INC COM                  790849103     3,452     56,269 SH          X               01     52,679                 3,590

ST JUDE MED INC COM                  790849103       418      6,811 SH              X   X   06  01                 6,811

ST PAUL COS INC COM                  792860108     1,042     26,269 SH          X               01     26,269

ST PAUL COS INC COM                  792860108         7        180 SH              X   X   06  01                   180

SAKS INC COM                         79377W108       197     13,127 SH          X               01     13,127

SANMINA-SCI CORP COM                 800907107       150     11,920 SH          X               01     11,920

SANMINA-SCI CORP COM                 800907107         6        472 SH              X   X       01                   472

SAP AKTIENGESELLSCHAFT SPONSORED ADR 803054204       269      6,480 SH          X               01      6,480

SARA LEE CORP COM                    803111103     3,905    179,874 SH          X               01    168,554      9,320      2,000

SARA LEE CORP COM                    803111103       597     27,521 SH              X   X    06 01      5,600     17,621      4,300

SCHERING PLOUGH CORP COM             806605101     1,213     69,767 SH          X               01     69,067        700

SCHERING PLOUGH CORP COM             806605101       498     28,643 SH              X   X       01     13,054     12,789      2,800

SCHLUMBERGER LTD COM                 806857108     3,104     56,730 SH          X               01     54,461        400      1,869

SCHLUMBERGER LTD COM                 806857108       704     12,858 SH              X   X    06 01      1,000     11,758        100

SCIENTIFIC ATLANTA INC COM           808655104       201      7,377 SH          X               01      7,377

SCIENTIFIC ATLANTA INC COM           808655104         1         26 SH              X   X       01                    26

SCOTTISH POWER PLC ADR COM           81013T705       207      7,610 SH          X               01      7,610

                                              ----------
         PAGE TOTAL                               28,029





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   33
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
SCOTTISH POWER PLC ADR COM           81013T705        12        449 SH              X   X       01                   449

SEARS ROEBUCK & CO COM               812387108     1,590     34,960 SH          X               01     34,760        200

SEARS ROEBUCK & CO COM               812387108        72      1,572 SH              X   X   06  01        500      1,072

SECTOR SPDR TR SHS BEN INT           81369Y803       460     22,595 SH          X               01     22,595
TECHNOLOGY
SECURITY NATL CORP IOWA COM          814784104       613      7,051 SH              X   X       01                 7,051

SEMPRA ENERGY COM                    816851109       561     18,657 SH          X               01     18,441                   216

SEMPRA ENERGY COM                    816851109         5        156 SH              X   X   06  01                   156

SENSIENT TECHNOLOGIES CORP COM       81725T100       346     17,478 SH          X               01     15,478                 2,000

SENSIENT TECHNOLOGIES CORP COM       81725T100       173      8,750 SH              X   X       01                 8,750

SIEMENS A G SPONSORED ADR            826197501       144      1,800 SH          X               01      1,800

SIEMENS A G SPONSORED ADR            826197501       180      2,250 SH              X   X       01                 2,250

SIGMA ALDRICH CORP COM               826552101       587     10,272 SH          X               01      7,872      2,400

SIGMA ALDRICH CORP COM               826552101        35        605 SH              X   X       01                   605

SIMON PPTY GROUP INC NEW COM         828806109       758     16,351 SH          X               01     16,166                   185

SIMON PPTY GROUP INC NEW COM         828806109        10        218 SH              X   X   06  01                   218

SKYWORKS SOLUTIONS INC COM           83088M102       118     13,534 SH          X               01     13,534

SMITH (A.O.) CORP COM                831865209       191      5,442 SH          X               01      5,442

SMITH (A.O.) CORP COM                831865209       280      8,000 SH              X   X       01                 8,000

SMUCKER J M CO COM NEW               832696405        21        463 SH          X               01        463

SMUCKER J M CO COM NEW               832696405       296      6,544 SH              X   X       01                 6,544

SNAP ON INC COM                      833034101        44      1,364 SH          X               01      1,364

SNAP ON INC COM                      833034101       275      8,525 SH              X   X       01      8,525

SOLECTRON CORP COM                   834182107        75     12,750 SH          X               01     12,750

SOLECTRON CORP COM                   834182107        12      2,000 SH              X   X       01                 2,000

SOUTHERN CO COM                      842587107     2,641     87,313 SH          X               01     85,410      1,200        703

                                              ----------
         PAGE TOTAL                                9,499





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   34
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
SOUTHERN CO COM                      842587107       424     14,014 SH              X   X   06  01      4,702      4,542      4,770

SOUTHTRUST CORP COM                  844730101       395     12,054 SH          X               01     11,454                   600

SOUTHTRUST CORP COM                  844730101        46      1,416 SH              X   X       01                 1,416

SOUTHWEST AIRLS CO COM               844741108       211     13,057 SH          X               01     13,057

SOUTHWEST AIRLS CO COM               844741108         4        229 SH              X   X       01                   229

SOUTHWESTERN ENERGY CO COM           845467109       370     15,462 SH          X               01     15,462

SOVEREIGN BANCORP INC COM            845905108       748     31,502 SH          X               01     31,502

SPANISH BROADCASTING SYS CL A        846425882       115     10,930 SH          X               01     10,930

SPLUDE FAMILY LTD PARTNERSHIP        848458907     3,300  1,320,000 SH          X               01  1,320,000

SPIRIT ENERGY CORP COM               84856R109        32     19,333 SH          X               01     19,333

SPRINT CORP COM                      852061100     1,307     79,599 SH          X               01     79,201                   398

SPRINT CORP COM                      852061100       118      7,157 SH              X   X   06  01                 7,157

STANLEY WKS COM                      854616109       257      6,798 SH          X               01      6,798

STANLEY WKS COM                      854616109         2         51 SH              X   X    06 01                    51

STAPLES INC COM                      855030102       376     13,782 SH          X               01     13,782

STAPLES INC COM                      855030102         7        253 SH              X   X       01                   253

STARBUCKS CORP COM                   855244109       405     12,209 SH          X               01     12,209

STARBUCKS CORP COM                   855244109        11        338 SH              X   X       01                   338

STELAX INDUSTRIES LTD COM            858497100         4     30,000 SH          X               01     30,000

STERLING FINL CORP COM               859317109       458     16,508 SH          X               01     16,508

STORA ENSO CORP SPONSORED ADR REPSTG 86210M106     1,156     85,283 SH          X               01     85,283
SER R SHS
STORA ENSO CORP SPONSORED ADR REPSTG 86210M106         9        671 SH              X   X       01                   671
SER R SHS
STRYKER CORP COM                     863667101       536      6,302 SH          X               01      6,302

STRYKER CORP COM                     863667101       641      7,538 SH              X   X       01                 7,538

SULLIFAM LIMITED PARTNERSHIP         86490A905       800          1 SH          X               01          1
50.3013%
                                              ----------
         PAGE TOTAL                               11,732





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   35
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
SUN LIFE FINL INC COM                866796105       344     13,749 SH          X               01     13,749

SUN MICROSYSTEMS INC COM             866810104        94     21,069 SH          X               01     21,069

SUN MICROSYSTEMS INC COM             866810104        38      8,400 SH              X   X       01        700      7,700

SUNOCO INC COM                       86764P109       209      4,087 SH          X               01      4,087

SUNOCO INC COM                       86764P109         7        140 SH              X   X       01                   140

SUNTRUST BKS INC COM                 867914103       455      6,364 SH          X               01      6,364

SUNTRUST BKS INC COM                 867914103        63        882 SH              X   X       01        800         82

SYMANTEC CORP COM                    871503108       516     14,969 SH          X               01     14,969

SYMANTEC CORP COM                    871503108         6        162 SH              X   X       01                   162

SYSCO CORP COM                       871829107       816     21,907 SH          X               01     14,857                 7,050

SYSCO CORP COM                       871829107       170      4,569 SH              X   X       01        760      3,809

TCF FINL CORP COM                    872275102       453      8,819 SH          X               01        319                 8,500

TCF FINL CORP COM                    872275102        49        960 SH              X   X       01                   960

TECO ENERGY INC COM                  872375100       270     18,770 SH          X               01     13,770                 5,000

TECO ENERGY INC COM                  872375100        12        800 SH              X   X       01                   800

TJX COS INC NEW COM                  872540109       275     12,455 SH          X               01     12,205                   250

TJX COS INC NEW COM                  872540109        23      1,028 SH              X   X       01        800        228

TAIWAN SEMICONDUCTOR MFG CO LTD      874039100       184     17,975 SH          X               01     17,975
SPONSORED ADR
TARGET CORP COM                      87612E106     1,923     50,068 SH          X               01     50,068

TARGET CORP COM                      87612E106     1,446     37,648 SH              X   X       01     23,200     14,448

TECUMSEH PRODS CO CL A               878895200         3         71 SH          X               01         71

TECUMSEH PRODS CO CL A               878895200       267      5,506 SH              X   X       01                 5,506

TEXAS INSTRUMENTS INC COM            882508104     1,351     45,996 SH          X               01     43,352      2,644

TEXAS INSTRUMENTS INC COM            882508104       701     23,857 SH              X   X       01      2,000     21,857

TEXTRON INC COM                      883203101       203      3,564 SH          X               01      3,564

                                              ----------
         PAGE TOTAL                                9,878





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   36
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
THERMO ELECTRON CORP COM             883556102       210      8,322 SH          X               01      8,322

THERMO ELECTRON CORP COM             883556102         1         59 SH              X   X       01                    59

THIRD WAVE TECHNOLOGIES INC COM      88428W108         7      1,500 SH          X               01      1,500

THIRD WAVE TECHNOLOGIES INC COM      88428W108       100     22,000 SH              X   X       01                22,000

3M CO COM                            88579Y101    25,960    305,306 SH          X               01    300,123      2,433      2,750

3M CO COM                            88579Y101     5,481     64,457 SH              X   X   06  01      9,762     53,095      1,600

TIFFANY & CO NEW COM                 886547108       274      6,056 SH          X               01      6,056

TIFFANY & CO NEW COM                 886547108         1         24 SH              X   X       01                    24

TIME WARNER INC NEW COM              887317105    19,374  1,076,943 SH          X               01  1,068,378                 8,565

TIME WARNER INC NEW COM              887317105       750     41,715 SH              X   X       01        175     41,432        108

TOOTSIE ROLL INDS INC COM            890516107        67      1,848 SH          X               01      1,848

TOOTSIE ROLL INDS INC COM            890516107       296      8,215 SH              X   X       01                 8,215

TORCHMARK CORP COM                   891027104       337      7,410 SH          X               01      7,410

TORCHMARK CORP COM                   891027104         7        150 SH              X   X       01                   150

TRANSTEXAS GAS CORP COM              893895102         3     10,000 SH          X               01     10,000

TRAVELERS PROPERTY CASUALTY CL B     89420G406       232     13,692 SH          X               01     13,692

TRAVELERS PROPERTY CASUALTY CL B     89420G406         5        300 SH              X   X       01                   300

TRI CITY BANKSHARES CORP COM         895364107       222      8,880 SH          X               01      8,880

TRI CITY BANKSHARES CORP COM         895364107     1,008     40,335 SH              X   X       01                40,335

TRIBUNE CO NEW COM                   896047107       377      7,303 SH          X               01      7,303

TRIBUNE CO NEW COM                   896047107       408      7,911 SH              X   X       01                 7,911

TUPPERWARE CORP COM                  899896104       691     39,844 SH          X               01     34,344      5,500

TUPPERWARE CORP COM                  899896104       573     33,073 SH              X   X       01                18,568     14,505

TYCO INTL LTD COM                    902124106     1,038     39,166 SH          X               01     39,166

TYCO INTL LTD COM                    902124106       520     19,637 SH              X   X       01                19,637

                                              ----------
         PAGE TOTAL                               57,942





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   37
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
UST INC COM                          902911106       576     16,152 SH          X               01     16,152

UST INC COM                          902911106        77      2,146 SH              X   X       01      2,000        146

US BANCORP DEL COM NEW               902973304    11,560    388,169 SH          X               01    375,828      4,020      8,321

US BANCORP DEL COM NEW               902973304     3,526    118,394 SH              X   X   06  01     28,297     90,097

UNION PACIFIC CORP COM               907818108     1,168     16,805 SH          X               01     13,035      2,770      1,000

UNION PACIFIC CORP COM               907818108       241      3,462 SH              X   X       01        700      1,996        766

UNION PLANTERS CORP COM              908068109       618     19,611 SH          X               01     19,422                   189

UNION PLANTERS CORP COM              908068109         7        229 SH              X   X    06 01                   229

UNIONFED FINL CORP COM NEW           909062200         0      3,000 SH          X               01      3,000

UNIONFED FINL CORP COM NEW           909062200         0      9,000 SH              X   X       01                 9,000

UNITED PARCEL SERVICES CL B          911312106     8,071    108,260 SH          X               01    106,010        100      2,150

UNITED PARCEL SERVICES CL B          911312106        35        472 SH              X   X       01                   472

UNITED TECHNOLOGIES CORP COM         913017109     2,760     29,119 SH          X               01     28,005        600        514

UNITED TECHNOLOGIES CORP COM         913017109       869      9,173 SH              X   X       01      2,000      5,173      2,000

UNITEDHEALTH GROUP INC COM           91324P102     1,050     18,043 SH          X               01     18,043

UNITEDHEALTH GROUP INC COM           91324P102        18        316 SH              X   X       01                   316

UNIVERSAL HEALTH SVCS INC CL B       913903100       201      3,734 SH          X               01      3,734

UNIVISION COMMUNICATIONS INC CL A    914906102       225      5,669 SH          X               01      3,659                 2,010

UNIVISION COMMUNICATIONS INC CL A    914906102        13        331 SH              X   X       01                   331

VF CORP COM                          918204108       864     19,982 SH          X               01     19,982

VF CORP COM                          918204108        53      1,224 SH              X   X       01                 1,224

VERIZON COMMUNICATIONS COM           92343V104    21,057    600,251 SH          X               01    588,912      2,983      8,356

VERIZON COMMUNICATIONS COM           92343V104     2,834     80,799 SH              X   X    06 01     12,468     64,944      3,387

VERITAS SOFTWARE CORP COM            923436109       157      4,238 SH          X               01      3,888                   350

VERITAS SOFTWARE CORP COM            923436109       151      4,069 SH              X   X       01                 4,069

                                              ----------
         PAGE TOTAL                               56,131





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   38
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
VIACOM INC CL B                      925524308     2,618     58,989 SH          X               01     57,644        374        971

VIACOM INC CL B                      925524308       350      7,879 SH              X   X       01      1,268      6,611

VISHAY INTERTECHNOLOGY INC COM       928298108       251     10,972 SH          X               01     10,972

VISHAY INTERTECHNOLOGY INC COM       928298108         3        130 SH              X   X       01                   130

VODAFONE GROUP PLC-SP ADR            92857W100       715     28,555 SH          X               01     28,555

VODAFONE GROUP PLC-SP ADR            92857W100       113      4,505 SH              X   X       01        600      3,435        470

WPS RES CORP COM                     92931B106     1,704     36,853 SH          X               01     35,809        700        344

WPS RES CORP COM                     92931B106       431      9,330 SH              X   X       01      4,000      4,930        400

WACHOVIA CORP COM                    929903102     5,353    114,894 SH          X               01    114,894

WACHOVIA CORP COM                    929903102       170      3,650 SH              X   X    06 01                 3,650

WAL MART STORES INC COM              931142103    17,986    339,045 SH          X               01    311,752     13,457     13,836

WAL MART STORES INC COM              931142103     3,929     74,053 SH              X   X    06 01      8,972     62,881      2,200

WALGREEN CO COM                      931422109    15,396    423,187 SH          X               01    397,707      2,307     23,173

WALGREEN CO COM                      931422109     5,580    153,377 SH              X   X    06 01     42,305    111,072

WASHINGTON MUT INC COM               939322103     3,945     98,326 SH          X               01     97,436                   890

WASHINGTON MUT INC COM               939322103        45      1,114 SH              X   X    06 01                 1,114

WAUSAU-MOSINEE PAPER CORP COM        943315101     3,007    222,433 SH          X               01    222,433

WAUSAU-MOSINEE PAPER CORP COM        943315101     4,485    331,724 SH              X   X       01    301,693     30,031

WEINGARTEN RLTY INVS SH BEN INT      948741103       264      5,950 SH          X               01      5,950

WEINGARTEN RLTY INVS SH BEN INT      948741103        15        333 SH              X   X       01                   333

WELLPOINT HEALTH NETWORKS INC NEW    94973H108       373      3,843 SH          X               01      3,843
COM
WELLPOINT HEALTH NETWORKS INC NEW    94973H108         8         81 SH              X   X       01                    81
COM
WELLS FARGO CO COM                   949746101    23,384    397,086 SH          X               01    375,994      2,299     18,793

WELLS FARGO CO COM                   949746101     2,958     50,233 SH              X   X   06  01      6,132     43,101      1,000

WEST SUBN BANCORP INC COM            956152409       477        793 SH          X               01        793

                                              ----------
         PAGE TOTAL                               93,560





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   39
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
WEYERHAEUSER CO COM                  962166104    10,026    156,660 SH          X               01    151,991      1,579      3,090

WEYERHAEUSER CO COM                  962166104     1,902     29,714 SH              X   X       01     10,535     19,149         30

WHIRLPOOL CORP COM                   963320106       357      4,914 SH          X               01        914                 4,000

WHIRLPOOL CORP COM                   963320106       684      9,411 SH              X   X       01                 9,411

WHITEHALL JEWELLERS INC COM          965063100       197     20,000 SH          X               01     20,000

WILLIAMS COS INC COM                 969457100       162     16,504 SH          X               01     16,104                   400

WILLIAMS COS INC COM                 969457100        60      6,105 SH              X   X       01                 6,105

WISCONSIN ENERGY CORP COM            976657106     4,395    131,388 SH          X               01    127,836      2,652        900

WISCONSIN ENERGY CORP COM            976657106     1,381     41,284 SH              X   X       01      5,558     31,335      4,391

WIZZARD SOFTWARE CORP COM            97750V109        13     10,000 SH          X               01     10,000

WORLDWIDE WIRELESS NETWORKS COM      981608201         0     10,000 SH          X               01     10,000

WRIGLEY WM JR CO COM                 982526105     1,145     20,366 SH          X               01     20,366

WRIGLEY WM JR CO COM                 982526105       949     16,877 SH              X   X       01      1,300     15,577

WYETH COM                            983024100     8,425    198,477 SH          X               01    193,877      4,600

WYETH COM                            983024100     2,664     62,748 SH              X   X       01      6,975     55,773

XTO ENERGY INC COM                   98385X106        22        783 SH          X               01        783

XTO ENERGY INC COM                   98385X106       314     11,082 SH              X   X       01                11,082

XCEL ENERGY INC COM                  98389B100       855     50,340 SH          X               01     47,376                 2,964

XCEL ENERGY INC COM                  98389B100       112      6,579 SH              X   X   06  01        744      5,835

XEROX CORP COM                       984121103       298     21,565 SH          X               01     21,165                   400

XEROX CORP COM                       984121103        44      3,168 SH              X   X       01                 3,168

YAHOO INC COM                        984332106       579     12,855 SH          X               01     12,855

YAHOO INC COM                        984332106        23        514 SH              X   X       01                   514

YUM BRANDS INC COM                   988498101       171      4,957 SH          X               01      4,957

YUM BRANDS INC COM                   988498101        85      2,476 SH              X   X       01        600      1,614        262

                                              ----------
         PAGE TOTAL                               34,863





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE   40
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
ZIEGLER COMPANIES INC COM            989506100        14      1,000 SH          X               01      1,000

ZIEGLER COMPANIES INC COM            989506100     2,403    168,605 SH              X   X       01               109,504     59,101

ZIMMER HOLDINGS INC W/I COM          98956P102     6,868     97,550 SH          X               01     94,650                 2,900

ZIMMER HOLDINGS INC W/I COM          98956P102       863     12,255 SH              X   X    06 01        270     11,905         80

ACCELERATED HIGH YIELD INSTITUTIONAL 9960059T3        65     65,000 SH          X               01     65,000
INVESTORS LTD
                                              ----------
         PAGE TOTAL                               10,213
                                              ----------
        FINAL TOTALS                           2,172,940
                                              ==========





REPORT PTR289  9W    M&I INVESTMENT MANAGEMENT CORP SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    1
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
02MICRO INTERNATIONAL LTD            G6797E106       533     23,700 SH          X               05     23,700

SCOTTISH RE GROUP LTD                G7885T104       783     37,700 SH          X               05     37,700

XOMA LTD                             G9825R107       726    110,000 SH          X               05    110,000

ASE TEST LIMITED                     Y02516105       482     32,200 SH          X               05     32,200

AMC ENTERTAINMENT INC COM            001669100       479     31,500 SH          X               05     31,500

ABBOTT LABORATORIES COM              002824100       214      4,600 SH          X               05      4,600

ALCOA INC COM                        013817101       217      5,700 SH          X               05      5,700

ALLIANCE ATLANTIS COMMUNIC B COM     01853E204       939     61,800 SH          X               05     61,800

ANDRX CORP DEL ANDRX GROUP COM       034553107       570     23,700 SH          X               05     23,700

APPLIED MATLS INC COM                038222105       211      9,400 SH          X               05      9,400

AVOCENT CORP COM                     053893103       690     18,900 SH          X               05     18,900

CALIFORNIA PIZZA KITCHEN INC COM     13054D109       733     36,400 SH          X               05     36,400

CELL GENESYS INC COM                 150921104       202     15,800 SH          X               05     15,800

CHEVRON TEXACO CORP COM              166764100       252      2,920 SH          X               05      2,920

CITIGROUP INC COM                    172967101       267      5,500 SH          X               05      5,500

CITY NATL CORP COM                   178566105       491      7,900 SH          X               05      7,900

COOPER COS INC COM NEW               216648402       443      9,400 SH          X               05      9,400

COVANCE INC COM                      222816100       504     18,800 SH          X               05     18,800

CRAY INC COM                         225223106       390     39,300 SH          X               05     39,300

CULLEN FROST BANKERS INC COM         229899109       446     11,000 SH          X               05     11,000

CYMER INC COM                        232572107       501     10,850 SH          X               05     10,850

DIGITAL INSIGHT CORP COM             25385P106       513     20,600 SH          X               05     20,600

EDWARDS LIFESCIENCES CORP COM        28176E108       504     16,750 SH          X               05     16,750

ENTEGRIS INC COM                     29362U104       565     44,000 SH          X               05     44,000

EXTENDED STAY AMERICA INC COM        30224P101       526     36,300 SH          X               05     36,300

                                              ----------
         PAGE TOTAL                               12,181





REPORT PTR289  9W    M&I INVESTMENT MANAGEMENT CORP SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    2
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
EXTREME NETWORKS INC COM             30226D106       509     70,600 SH          X               05     70,600

EXXON MOBIL CORP COM                 30231G102       295      7,200 SH          X               05      7,200

FEDERAL HOME LN MTG CORP COM         313400301       210      3,600 SH          X               05      3,600

GENERAL ELEC CO COM                  369604103       403     13,000 SH          X               05     13,000

GILLETTE CO COM                      375766102       220      6,000 SH          X               05      6,000

GUIDANT CORP COM                     401698105       205      3,400 SH          X               05      3,400

GYMBOREE CORP COM                    403777105       600     34,800 SH          X               05     34,800

HOLLIS-EDEN PHARMACEUTICALS COM      435902101       361     32,800 SH          X               05     32,800

ICU MEDICAL INC COM                  44930G107       645     18,800 SH          X               05     18,800

INGRAM MICRO INC CL A                457153104       854     53,700 SH          X               05     53,700

INTEGRATED DEVICE TECHNOLOGY INC COM 458118106       543     31,600 SH          X               05     31,600

INTEL CORP COM                       458140100       321     10,000 SH          X               05     10,000

INVERESK RESEARCH GROUP INC COM      461238107       467     18,900 SH          X               05     18,900

JOHNSON & JOHNSON COM                478160104       207      4,000 SH          X               05      4,000

JOURNAL COMMUNICATIONS INC COM       481132108       232      5,880 SH          X               05      5,880

KOHLS CORP COM                       500255104       234      5,200 SH          X               05      5,200

KOMAG INC COM NEW                    500453204       565     38,700 SH          X               05     38,700

LANDRYS RESTAURANTS INC COM          51508L103     1,222     47,500 SH          X               05     47,500

LAUDER ESTEE COS INC CL A            518439104       232      5,900 SH          X               05      5,900

LAWSON SOFTWARE INC COM              520780107       589     71,000 SH          X               05     71,000

LEAPFROG ENTERPRISES INC CL A        52186N106       340     12,800 SH          X               05     12,800

MGIC INVT CORP WIS COM               552848103       216      3,800 SH          X               05      3,800

MANHATTAN ASSOCS INC COM             562750109       608     22,000 SH          X               05     22,000

MARVEL ENTERPRISES INC COM           57383M108       349     12,000 SH          X               05     12,000

MICROSOFT CORP COM                   594918104       394     14,400 SH          X               05     14,400

                                              ----------
         PAGE TOTAL                               10,821





REPORT PTR289  9W    M&I INVESTMENT MANAGEMENT CORP SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    3
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
MIKOHN GAMING CORP COM               59862K108       396     87,892 SH          X               05     87,892

NETSCREEN TECHNOLOGIES INC COM       64117V107       542     21,900 SH          X               05     21,900

O CHARLEYS INC COM                   670823103       682     38,000 SH          X               05     38,000

ORACLE CORP COM                      68389X105       159     12,000 SH          X               05     12,000

OVERLAND STORAGE INC COM             690310107       468     24,900 SH          X               05     24,900

PEREGRINE SYS INC COM NEW            71366Q200       477     24,800 SH          X               05     24,800

PFIZER INC COM                       717081103       324      9,160 SH          X               05      9,160

PIONEER NAT RES CO COM               723787107       549     17,200 SH          X               05     17,200

POSSIS MEDICAL INC                   737407106       559     28,300 SH          X               05     28,300

PROTECTIVE LIFE CORP COM             743674103       643     19,000 SH          X               05     19,000

QUICKSILVER RESOURCES INC COM        74837R104       352     10,900 SH          X               05     10,900

REMINGTON OIL & GAS CORP COM         759594302       431     21,900 SH          X               05     21,900

ROTO-ROOTER INC NEW COM              778787101       479     10,400 SH          X               05     10,400

ROWAN COS INC COM                    779382100       433     18,700 SH          X               05     18,700

RUBY TUESDAY INC COM                 781182100       541     19,000 SH          X               05     19,000

SELECT COMFORT CORP OC-CAP STK       81616X103       540     21,800 SH          X               05     21,800

SERENA SOFTWARE INC COM              817492101       798     43,500 SH          X               05     43,500

SINCLAIR BROADCAST GROUP INC CL A    829226109       641     42,800 SH          X               05     42,800

SOUTHWEST BANCORPORATION TEX INC COM 84476R109       431     11,100 SH          X               05     11,100

SPANISH BROADCASTING SYS CL A        846425882     1,158    109,800 SH          X               05    109,800

TTM TECHNOLOGIES INC COM             87305R109       797     47,200 SH          X               05     47,200

TAKE-TWO INTERACTIVE SOFTWARE COM    874054109     1,092     37,900 SH          X               05     37,900

TRIAD HOSPS INC COM                  89579K109       472     14,200 SH          X               05     14,200

VARCO INTERNATIONAL INC COM          922122106       419     20,300 SH          X               05     20,300

VARIAN SEMICONDUCTOR EQUIP COM       922207105       749     17,100 SH          X               05     17,100

                                              ----------
         PAGE TOTAL                               14,132





REPORT PTR289  9W    M&I INVESTMENT MANAGEMENT CORP SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    4
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
WAL MART STORES INC COM              931142103       281      5,300 SH          X               05      5,300

ZOLL MED CORP COM                    989922109       556     15,700 SH          X               05     15,700

                                              ----------
         PAGE TOTAL                                  837
                                              ----------
        FINAL TOTALS                              37,971
                                              ==========





REPORT PTR289  7R    M&I NATIONAL TRUST             SECURITIES AND EXCHANGE COMMISSION FORM 13-F        01/22/04           PAGE    1
                                                                   AS OF 12/31/03
- - - - - COLUMN 1 AND 2 - - - - - - COLUMN 3 -  COLUMN 4 - - -COLUMN 5 - - - - COLUMN 6- - COLUMN 7- - - - - - COLUMN 8- - -  - -
                                                                                INVESTMENT
                                                  MARKET                        DISCRETION                    VOTING AUTHORITY
                                                  VALUE    SHS OR   SH/ PUT/  SOLE SHR OTHER             SOLE      SHARED     NONE
     ISSUER AND TITLE OF CLASS          CUSIP   (X$1000)   PRN AMT  PRN CALL   (A) (B) (C)  MANAGERS      (A)        (B)       (C)
                                                                                     
NO REPORT RECORDS EXIST FOR THIS REQUEST