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

                                      Form 13F

                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:   3/31/2002

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

Institutional Investment Manager Filing this Report:

Name:                    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:      M. F. Furlong
Title:     Executive Vice President & Chief Financial Officer
Phone:     414-765-8052

Signature, Place, and Date of Signing:

    /s/ M.F. Furlong                           Milwaukee, WI          5/13/2002
      [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:             986

Form 13F Information Table Value Total:             $ 2,146,624
                                                    (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        04/05/02           PAGE    1
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
INGERSOLL-RAND CO CL A               G4776G101       359      7,168 SH          X               01      7,168

ORIENT EXPRESS HOTELS LTD CL A       G67743107       732     35,730 SH          X               01     35,730

TRANSOCEAN SEDCO FOREX INC COM       G90078109     3,278     98,656 SH          X               01     97,301        205      1,150

TRANSOCEAN SEDCO FOREX INC COM       G90078109       437     13,148 SH              X   X       01      1,500     11,648

XL CAPITAL LTD CLASS A               G98255105       211      2,256 SH          X               01      2,256

XL CAPITAL LTD CLASS A               G98255105         1          6 SH              X   X       01                     6

CHECK POINT SOFTWARE TECH COM        M22465104       316     10,400 SH          X               01     10,400

CHECK POINT SOFTWARE TECH COM        M22465104        12        400 SH              X   X       01                   400

12.5% INT RICE CREEK TOWNHOUSE CO    R00689R10       805          2 SH              X   X       01                     2
OWNING TOWNHOUSE COMPLEX
RIVERWOOD APARTMENTS LTD PTNSHP      R02524R17     7,250          1 SH          X               01          1
OWNING COM BLDG 6431 BRIDGE RD
AAR CORP COM                         000361105       162     15,000 SH          X               01     15,000

ADC TELECOMMUNICATIONS INC COM       000886101        42     10,376 SH          X               01     10,376

AFLAC INC COM                        001055102       208      7,065 SH          X               01      5,696         44      1,325

AFLAC INC COM                        001055102       263      8,906 SH              X   X       01      1,600      7,306

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

AMR CORP DEL COM                     001765106     2,011     76,143 SH          X               01     74,553                 1,590

AMR CORP DEL COM                     001765106       130      4,910 SH              X   X       01        400      4,510

AOL TIME WARNER INC COM              00184A105    43,995  1,860,247 SH          X               01  1,846,412        965     12,870

AOL TIME WARNER INC COM              00184A105     1,290     54,527 SH              X   X    06 01     21,102     33,275        150

AT&T CORP COM                        001957109     5,575    355,113 SH          X               01    340,230      4,173     10,710

AT&T CORP COM                        001957109     1,073     68,342 SH              X   X       01      8,460     57,432      2,450

AT & T WIRELESS COM                  00209A106       450     50,256 SH          X               01     50,139        117

AT & T WIRELESS COM                  00209A106       148     16,549 SH              X   X       01      1,956     14,304        289

ABBOTT LABORATORIES COM              002824100    26,429    502,448 SH          X               01    451,874     35,359     15,215

ABBOTT LABORATORIES COM              002824100     6,688    127,143 SH              X   X    06 01     11,376    108,567      7,200

                                              ----------
         PAGE TOTAL                              101,865





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    2
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
ACHIEVA DEVELOPMENT CORP COM         00447B106         4     33,000 SH          X               01     33,000

ADELPHIA COMMUNICATIONS CL A         006848105       527     35,370 SH          X               01     35,205        165

AEROFLEX INC COM                     007768104       395     30,722 SH          X               01     30,722

ADVANCED MICRO DEVICES INC COM       007903107       202     13,705 SH          X               01     13,705

ADVANCED MICRO DEVICES INC COM       007903107         2        115 SH              X   X       01                   115

AEGON NV ORD AMER REG                007924103       202      8,271 SH          X               01      8,271

AEGON NV ORD AMER REG                007924103        32      1,292 SH              X   X       01                   376        916

AFFILIATED COMPUTER SVCS INC CL A    008190100       203      3,608 SH          X               01      3,608

AGILENT TECHNOLOGIES INC COM         00846U101       563     16,117 SH          X               01     15,660        457

AGILENT TECHNOLOGIES INC COM         00846U101       236      6,753 SH              X   X       01      3,051      3,702

AIR PRODS & CHEMS INC COM            009158106       874     16,917 SH          X               01     13,694      3,223

AIR PRODS & CHEMS INC COM            009158106     2,112     40,885 SH              X   X       01     10,000     30,885

ALBANY INTL CORP NEW CL A            012348108       262      8,638 SH          X               01      8,638

ALCOA INC COM                        013817101     1,885     49,936 SH          X               01     45,605      3,503        828

ALCOA INC COM                        013817101       994     26,339 SH              X   X       01      1,322     25,017

ALLEGHENY ENERGY INC COM             017361106       262      6,326 SH          X               01      6,326

ALLEGHENY ENERGY INC COM             017361106         6        141 SH              X   X       01                   141

ALLERGAN INC COM                     018490102       203      3,142 SH          X               01      2,540        602

ALLERGAN INC COM                     018490102         1         22 SH              X   X       01                    22

ALLIANCE ATLANTIS COMMUNIC B COM     01853E204       427     37,820 SH          X               01     37,820

ALLIANT ENERGY CORP COM              018802108     2,499     82,699 SH          X               01     81,365      1,334

ALLIANT ENERGY CORP COM              018802108       336     11,102 SH              X   X       01      1,100     10,002

ALLSTATE CORP COM                    020002101     3,048     80,700 SH          X               01     78,656         44      2,000

ALLSTATE CORP COM                    020002101       313      8,281 SH              X   X       01        400      7,881

ALLTEL CORP COM                      020039103     1,023     18,413 SH          X               01      8,405          8     10,000

                                              ----------
         PAGE TOTAL                               16,611





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    3
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
ALLTEL CORP COM                      020039103        52        939 SH              X   X       01                   939

AMBAC FINANCIAL GROUP INC COM        023139108       265      4,492 SH          X               01      4,492

AMBAC FINANCIAL GROUP INC COM        023139108         5         91 SH              X   X       01                    91

AMERADA HESS CORP COM                023551104       294      3,701 SH          X               01      3,701

AMERADA HESS CORP COM                023551104        62        779 SH              X   X       01                   779

AMEREN CORP COM                      023608102       429     10,028 SH          X               01     10,028

AMEREN CORP COM                      023608102        37        865 SH              X   X       01        656        209

AMCORE FINL INC COM                  023912108       191      8,142 SH          X               01      8,142

AMCORE FINL INC COM                  023912108       360     15,297 SH              X   X       01     15,297

AMERICAN ELEC PWR INC COM            025537101       879     19,079 SH          X               01     18,847        232

AMERICAN ELEC PWR INC COM            025537101       384      8,339 SH              X   X       01        461      4,931      2,947

AMERICAN EXPRESS CO COM              025816109     8,393    204,915 SH          X               01    184,386      3,419     17,110

AMERICAN EXPRESS CO COM              025816109     1,757     42,897 SH              X   X    06 01      8,800     34,097

AMERICAN INTL GROUP INC COM          026874107    19,306    267,617 SH          X               01    242,895     13,307     11,415

AMERICAN INTL GROUP INC COM          026874107     3,012     41,759 SH              X   X    06 01     14,162     27,597

AMERICAN MGMT SYS INC COM            027352103       226     12,082 SH          X               01     12,082

AMERISTAR CASINOS INC                03070Q101       291     10,598 SH          X               01     10,598

AMERISOURCEBERGEN CORP COM           03073E105       522      7,649 SH          X               01      7,649

AMERISOURCEBERGEN CORP COM           03073E105         6         93 SH              X   X       01                    93

AMGEN INC COM                        031162100    10,088    169,030 SH          X               01    161,903      2,770      4,357

AMGEN INC COM                        031162100     1,102     18,472 SH              X   X    06 01        925     16,147      1,400

AMKOR TECHNOLOGY INC COM             031652100       345     15,480 SH          X               01     15,480

AMSOUTH BANCORPORATION COM           032165102       322     14,668 SH          X               01     14,668

AMSOUTH BANCORPORATION COM           032165102         7        318 SH              X   X       01                   318

ANADARKO PETE CORP COM               032511107       290      5,146 SH          X               01      5,146

                                              ----------
         PAGE TOTAL                               48,625





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    4
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
ANADARKO PETE CORP COM               032511107        22        388 SH              X   X       01                   388

ANALOG DEVICES INC COM               032654105       200      4,434 SH          X               01      4,434

ANALOG DEVICES INC COM               032654105         5        105 SH              X   X       01                   105

ANCHOR BANCORP WIS INC COM           032839102        49      2,454 SH          X               01      2,454

ANCHOR BANCORP WIS INC COM           032839102       548     27,380 SH              X   X       01                27,380

ANDREW CORP COM                      034425108       180     10,776 SH          X               01     10,776

ANDREW CORP COM                      034425108         5        301 SH              X   X       01                   301

ANHEUSER BUSCH COS INC COM           035229103     4,281     82,013 SH          X               01     73,813      2,436      5,764

ANHEUSER BUSCH COS INC COM           035229103     2,173     41,632 SH              X   X       01     30,294     11,338

AON CORP COM                         037389103       339      9,690 SH          X               01      9,690

AON CORP COM                         037389103        27        769 SH              X   X       01                   769

APACHE CORP COM                      037411105       336      5,902 SH          X               01      5,902

APACHE CORP COM                      037411105        34        597 SH              X   X       01                   597

APOLLO GROUP INC CL A                037604105       460      8,583 SH          X               01      8,583

APPLIED MICRO CIRCUITS CORP COM      03822W109        90     11,250 SH          X               01      4,000                 7,250

APPLIED MATERIALS INC COM            038222105     9,678    178,334 SH          X               01    163,458      1,921     12,955

APPLIED MATERIALS INC COM            038222105     1,033     19,043 SH              X   X       01      4,769     14,274

ARCHER DANIELS MIDLAND CO COM        039483102     1,387     99,562 SH          X               01     96,201                 3,361

ARCHER DANIELS MIDLAND CO COM        039483102         6        397 SH              X   X       01                   397

ARIZONA LAND INCOME CORP CL A        040515108        54     10,000 SH          X               01                           10,000

ARVINMERITOR INC COM                 043353101     1,141     39,962 SH          X               01     39,962

ASPECT COMMUNICATIONS INC COM        04523Q102       409    104,680 SH          X               01    104,680

ASSOCIATED BANC CORP COM             045487105     6,091    160,169 SH          X               01    150,020      1,295      8,854

ASSOCIATED BANC CORP COM             045487105     1,547     40,689 SH              X   X       01        756     39,933

AUTODESK INC COM                     052769106       292      6,244 SH          X               01      6,244

                                              ----------
         PAGE TOTAL                               30,387





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    5
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
AUTODESK INC COM                     052769106         9        186 SH              X   X       01                   186

AUTOMATIC DATA PROCESSING COM        053015103     1,591     27,299 SH          X               01     24,553      1,063      1,683

AUTOMATIC DATA PROCESSING COM        053015103       462      7,929 SH              X   X       01        800      6,329        800

AUTOZONE INC COM                     053332102       456      6,629 SH          X               01      6,629

AUTOZONE INC COM                     053332102         7         96 SH              X   X       01                    96

AVERY DENNISON CORP COM              053611109       517      8,473 SH          X               01      8,473

AVERY DENNISON CORP COM              053611109       129      2,119 SH              X   X       01                 2,119

AVON PRODS INC COM                   054303102       168      3,095 SH          X               01      3,084         11

AVON PRODS INC COM                   054303102       114      2,098 SH              X   X       01                 2,098

BB&T CORP COM                        054937107       285      7,467 SH          X               01      7,443         24

BB&T CORP COM                        054937107         8        215 SH              X   X       01                   215

BP PLC SPON ADR                      055622104    13,814    260,143 SH          X               01    241,146      4,975     14,022

BP PLC SPON ADR                      055622104     6,295    118,554 SH              X   X    06 01      9,331    106,433      2,790

BMC SOFTWARE INC COM                 055921100     5,316    273,334 SH          X               01    256,829      1,955     14,550

BMC SOFTWARE INC COM                 055921100       425     21,850 SH              X   X       01      9,650     12,200

BADGER METER INC COM                 056525108    10,037    364,973 SH          X               01     35,187               329,786

BADGER METER INC COM                 056525108        88      3,200 SH              X   X       01        400      2,800

BAKER HUGHES INC COM                 057224107       348      9,110 SH          X               01      9,053         57

BAKER HUGHES INC COM                 057224107        69      1,797 SH              X   X       01                 1,797

BAM! ENTERTAINMENT INC COM           059361105       643    136,720 SH          X               01    136,720

BANK OF AMERICA CORP COM             060505104     8,189    120,389 SH          X               01    118,674        462      1,253

BANK OF AMERICA CORP COM             060505104     1,778     26,144 SH              X   X       01      2,953     23,041        150

BANK MUTUAL CORPORATION COM          063748107       174     10,220 SH          X               01     10,220

BANK MUTUAL CORPORATION COM          063748107       174     10,216 SH              X   X       01                10,216

BANK NEW YORK INC COM                064057102     3,610     85,916 SH          X               01     76,072      4,656      5,188

                                              ----------
         PAGE TOTAL                               54,706





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    6
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
BANK NEW YORK INC COM                064057102     1,249     29,728 SH              X   X       01      2,427     19,317      7,984

BANK ONE CORP COM                    06423A103     4,352    104,174 SH          X               01     99,057      1,110      4,007

BANK ONE CORP COM                    06423A103     3,193     76,419 SH              X   X       01      4,263     36,914     35,242

BANTA CORP COM                       066821109       312      8,749 SH          X               01      8,749

BANTA CORP COM                       066821109        36      1,000 SH              X   X       01                 1,000

BARD C R INC COM                     067383109       144      2,444 SH          X               01      2,444

BARD C R INC COM                     067383109       603     10,214 SH              X   X       01      8,200      2,014

BARRA INC COM                        068313105       203      3,344 SH          X               01      1,544                 1,800

BAUSCH & LOMB INC COM                071707103       234      5,245 SH          X               01      4,975        270

BAXTER INTL INC COM                  071813109    12,699    213,363 SH          X               01    213,329         34

BAXTER INTL INC COM                  071813109     1,602     26,923 SH              X   X       01      2,590     23,533        800

BECTON DICKINSON & CO COM            075887109       209      5,550 SH          X               01      5,550

BED BATH & BEYOND INC COM            075896100       520     15,395 SH          X               01     15,105                   290

BED BATH & BEYOND INC COM            075896100       680     20,159 SH              X   X       01                20,159

BELLSOUTH CORP COM                   079860102    11,287    306,212 SH          X               01    286,583     18,425      1,204

BELLSOUTH CORP COM                   079860102     4,381    118,859 SH              X   X       01     36,615     78,888      3,356

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

BERKSHIRE HATHAWAY INC CL A          084670108       640          9 SH          X               01          9

BERKSHIRE HATHAWAY INC CL A          084670108       995         14 SH              X   X       01                    12          2

BERKSHIRE HATHAWAY INC CL B          084670207     1,800        760 SH          X               01        688         51         21

BERKSHIRE HATHAWAY INC CL B          084670207       670        283 SH              X   X       01                   277          6

BEST BUY INC COM                     086516101       269      3,392 SH          X               01      3,392

BEST BUY INC COM                     086516101       548      6,921 SH              X   X       01        812      6,109

BIG LOTS INC COM                     089302103       197     14,000 SH          X               01     14,000

BIOGEN INC COM                       090597105        18        359 SH          X               01        259                   100

                                              ----------
         PAGE TOTAL                               46,842





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    7
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
BIOGEN INC COM                       090597105       231      4,700 SH              X   X       01        200      4,500

BIOMET INC COM                       090613100       403     14,900 SH          X               01     14,900

BIOMET INC COM                       090613100        44      1,618 SH              X   X       01                    43      1,575

BLOCK H & R INC COM                  093671105       606     13,637 SH          X               01     13,637

BLOCK H & R INC COM                  093671105         8        179 SH              X   X       01                   179

BOEING CO COM                        097023105     5,107    105,854 SH          X               01     95,140      2,844      7,870

BOEING CO COM                        097023105     1,066     22,093 SH              X   X       01      2,817     18,942        334

BRADY W H CO CL A                    104674106         2         65 SH          X               01         65

BRADY W H CO CL A                    104674106       788     21,700 SH              X   X       01                21,700

BRIGGS & STRATTON CORP COM           109043109       160      3,473 SH          X               01      3,473

BRIGGS & STRATTON CORP COM           109043109       239      5,200 SH              X   X       01      1,000      4,200

BRISTOL MYERS SQUIBB CO COM          110122108    11,093    273,980 SH          X               01    246,882     16,745     10,353

BRISTOL MYERS SQUIBB CO COM          110122108     5,160    127,446 SH              X   X       01     36,810     85,086      5,550

BROADWING INC COM                    111620100       134     19,200 SH          X               01     19,200

BRUNSWICK CORP COM                   117043109       841     30,800 SH          X               01     30,800

BURLINGTON NORTHN SANTA FE CORP COM  12189T104       698     23,130 SH          X               01     19,801      2,729        600

BURLINGTON NORTHN SANTA FE CORP COM  12189T104       351     11,640 SH              X   X       01      1,944      5,496      4,200

BURLINGTON RES INC COM               122014103       228      5,676 SH          X               01      5,328                   348

BURLINGTON RES INC COM               122014103       175      4,363 SH              X   X       01                 3,666        697

CIGNA CORP COM                       125509109     1,522     15,009 SH          X               01     14,996         13

CIGNA CORP COM                       125509109        62        615 SH              X   X       01                   615

CSX CORP COM                         126408103       410     10,760 SH          X               01      9,960        800

CSX CORP COM                         126408103        28        740 SH              X   X       01                   615        125

CV THERAPEUTICS INC COM              126667104       302      8,350 SH          X               01      8,350

CABLEVISION SYS CORP-RAINBOW MEDIA   12686C844       416     16,840 SH          X               01     16,840
GROUP COM
                                              ----------
         PAGE TOTAL                               30,074





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    8
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
CADRE RESOURCES LTD COM              12763W101         5     20,000 SH          X               01     20,000

CAMPBELL SOUP CO COM                 134429109       180      6,715 SH          X               01      6,693         22

CAMPBELL SOUP CO COM                 134429109        83      3,080 SH              X   X       01                 3,080

CARDINAL HEALTH INC COM              14149Y108    15,308    215,943 SH          X               01    208,655        216      7,072

CARDINAL HEALTH INC COM              14149Y108     1,786     25,199 SH              X   X    06 01      5,068     19,945        186

CARNIVAL CORP COM                    143658102       222      6,791 SH          X               01      6,769         22

CARNIVAL CORP COM                    143658102       373     11,430 SH              X   X       01                11,430

CATERPILLAR INC COM                  149123101       653     11,488 SH          X               01     11,321        167

CATERPILLAR INC COM                  149123101       632     11,119 SH              X   X       01      8,000      3,119

CATTERTON SIMON PARTNERS LTD         149182909       160    255,687 SH              X   X       01               255,687
PARTNERSHIP
CELL GENESYS INC COM                 150921104       334     19,730 SH          X               01     19,730

CENDANT CORP COM                     151313103       322     16,757 SH          X               01     16,700         57

CENDANT CORP COM                     151313103         9        475 SH              X   X       01                   475

CENTURYTEL INC COM                   156700106       309      9,085 SH          X               01      9,085

CENTURYTEL INC COM                   156700106         7        219 SH              X   X       01                   219

CHARLES RIVER LABORATORIES COM       159864107       339     10,920 SH          X               01     10,920

CHARTER ONE FINL INC COM             160903100       249      7,980 SH          X               01      7,980

CHARTER ONE FINL INC COM             160903100         7        209 SH              X   X       01                   209

CHECKPOINT SYS INC COM               162825103       243     15,212 SH          X               01     15,212

CHEMICAL FINANCIAL CORP COM          163731102       410     13,667 SH          X               01     13,667

CHEMICAL FINANCIAL CORP COM          163731102       345     11,509 SH              X   X       01                11,509

CHESAPEAKE ENERGY CORP COM           165167107        39      5,000 SH          X               01      5,000

CHESAPEAKE ENERGY CORP COM           165167107        77     10,000 SH              X   X       01                10,000

CHEVRON TEXACO CORP COM              166764100    20,493    227,015 SH          X               01    225,407        816        792

CHEVRON TEXACO CORP COM              166764100     5,880     65,133 SH              X   X       01      4,058     59,224      1,851

                                              ----------
         PAGE TOTAL                               48,465





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    9
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
CINERGY CORP COM                     172474108       680     19,026 SH          X               01     13,911                 5,115

CINERGY CORP COM                     172474108        60      1,682 SH              X   X       01        115      1,442        125

CISCO SYS INC COM                    17275R102     8,437    498,324 SH          X               01    485,824      6,140      6,360

CISCO SYS INC COM                    17275R102     1,799    106,242 SH              X   X       01     12,019     94,223

CINTAS CORP COM                      172908105       618     12,391 SH          X               01     11,502         19        870

CINTAS CORP COM                      172908105       263      5,269 SH              X   X       01      2,431      2,838

CITIGROUP INC COM                    172967101    22,563    455,627 SH          X               01    432,549      3,871     19,207

CITIGROUP INC COM                    172967101     4,027     81,326 SH              X   X    06 01      8,604     67,922      4,800

CITIZENS BKG CORP MICH COM           174420109     1,263     38,891 SH          X               01     22,322                16,569

CITIZENS COMMUNICATIONS CO COM       17453B101       409     38,043 SH          X               01     38,043

CITIZENS COMMUNICATIONS CO COM       17453B101         8        760 SH              X   X       01                   760

CITRIX SYS INC COM                   177376100       164      9,474 SH          X               01      9,474

CITRIX SYS INC COM                   177376100        19      1,100 SH              X   X       01                 1,100

CLEAR CHANNEL COMMUNICATIONS INC COM 184502102     7,760    150,936 SH          X               01    148,716        775      1,445

CLEAR CHANNEL COMMUNICATIONS INC COM 184502102       719     13,988 SH              X   X   06  01      5,365      8,623

CLOROX CO COM                        189054109       975     22,357 SH          X               01     22,357

CLOROX CO COM                        189054109       153      3,517 SH              X   X       01        600      2,917

COCA COLA CO COM                     191216100    18,058    345,548 SH          X               01    315,287     15,016     15,245

COCA COLA CO COM                     191216100     6,903    132,085 SH              X   X    06 01     32,146     98,739      1,200

COLGATE PALMOLIVE CO COM             194162103     4,253     74,422 SH          X               01     69,534      4,632        256

COLGATE PALMOLIVE CO COM             194162103     3,141     54,961 SH              X   X       01     28,208     24,753      2,000

COMCAST CORP CL A SPL                200300200       478     15,019 SH          X               01     14,595         80        344

COMCAST CORP CL A SPL                200300200        10        330 SH              X   X       01                   330

COMERICA INC COM                     200340107       521      8,321 SH          X               01      8,321

COMERICA INC COM                     200340107        94      1,500 SH              X   X       01                 1,500

                                              ----------
         PAGE TOTAL                               83,375





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   10
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
COMMERCE GROUP INC MASS COM          200641108       240      6,190 SH              X   X       01                 6,190

COMMUNITY HEALTH SYSTEMS INC COM     203668108       304     13,770 SH          X               01     13,770

COMPAQ COMPUTER CORP COM             204493100       305     29,217 SH          X               01     29,217

COMPAQ COMPUTER CORP COM             204493100       155     14,800 SH              X   X       01                14,800

COMPUTER ASSOC INTL INC COM          204912109       507     23,145 SH          X               01     23,145

COMPUTER ASSOC INTL INC COM          204912109        33      1,500 SH              X   X       01                 1,500

COMPUTER SCIENCES CORP COM           205363104       531     10,465 SH          X               01     10,465

COMPUTER SCIENCES CORP COM           205363104        10        200 SH              X   X       01                   200

COMPUWARE CORP COM                   205638109     1,245     96,399 SH          X               01     96,399

COMPUWARE CORP COM                   205638109         4        307 SH              X   X       01                   307

CONAGRA FOODS INC COM                205887102       263     10,860 SH          X               01      7,528      2,400        932

CONAGRA FOODS INC COM                205887102         4        153 SH              X   X       01                   153

CONCORD EFS INC COM                  206197105       726     21,820 SH          X               01     21,800         20

CONCORD EFS INC COM                  206197105         7        207 SH              X   X       01                   207

CONEXANT SYSTEMS INC COM             207142100       560     46,452 SH          X               01     45,952        500

CONEXANT SYSTEMS INC COM             207142100        51      4,200 SH              X   X       01                            4,200

CONOCO INC COM                       208251504     1,783     61,093 SH          X               01     61,093

CONOCO INC COM                       208251504        27        914 SH              X   X       01                   614        300

CONSOLIDATED EDISON INC COM          209115104       705     16,831 SH          X               01     16,210        621

CONSOLIDATED EDISON INC COM          209115104       150      3,577 SH              X   X       01                 3,577

CONVERGYS CORP COM                   212485106       706     23,865 SH          X               01     23,865

CONVERGYS CORP COM                   212485106         6        200 SH              X   X       01                   200

COOPER INDS INC COM                  216669101       529     12,622 SH          X               01     12,622

COSTCO WHOLESALE CORP COM            22160K105       620     15,559 SH          X               01     14,731         28        800

COSTCO WHOLESALE CORP COM            22160K105         7        188 SH              X   X       01                   188

                                              ----------
         PAGE TOTAL                                9,478





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   11
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
COUNTRYWIDE CR INDS INC COM          222372104       466     10,421 SH          X               01     10,421

COUNTRYWIDE CR INDS INC COM          222372104         8        170 SH              X   X       01                   170

COVANCE INC COM                      222816100       244     12,047 SH          X               01     12,047

COVANCE INC COM                      222816100         6        300 SH              X   X       01                   300

COX COMMUNICATIONS INC NEW CL A      224044107       235      6,238 SH          X               01      6,238

COX RADIO INC CL A                   224051102       226      7,960 SH          X               01      7,960

CRANE CO COM                         224399105       217      7,919 SH          X               01      7,919

CRANE CO COM                         224399105        66      2,406 SH              X   X       01                 2,406

CRYOLIFE INC COM                     228903100       520     24,883 SH          X               01     24,883

CRYOLIFE INC COM                     228903100        31      1,500 SH              X   X       01                 1,500

CULLEN FROST BANKERS INC COM         229899109       474     13,224 SH          X               01     13,224

CUNNINGHAM FAMILY LIMITED            23115A903       717        300 SH          X               01        300
PARTNERSHIP
DTE ENERGY COMPANY COM               233331107       585     12,847 SH          X               01      8,847                 4,000

DTE ENERGY COMPANY COM               233331107        20        442 SH              X   X       01                   442

DARDEN RESTAURANTS INC COM           237194105       533     13,127 SH          X               01     13,127

DARDEN RESTAURANTS INC COM           237194105        34        843 SH              X   X       01                   843

DEAN FOODS CO COM                    242370104       271      3,580 SH          X               01      3,580

DEAN FOODS CO COM                    242370104        21        278 SH              X   X       01                   278

DEERE & CO COM                       244199105       990     21,727 SH          X               01     21,727

DEERE & CO COM                       244199105       196      4,306 SH              X   X       01      1,200        634      2,472

DELL COMPUTER CORP COM               247025109     1,909     73,123 SH          X               01     67,768        505      4,850

DELL COMPUTER CORP COM               247025109       609     23,336 SH              X   X       01                23,336

DELPHI CORPORATION COM               247126105       174     10,877 SH          X               01     10,738                   139

DELPHI CORPORATION COM               247126105        52      3,234 SH              X   X       01                 3,234

DELUXE CORP COM                      248019101       384      8,295 SH          X               01      8,295

                                              ----------
         PAGE TOTAL                                8,988





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   12
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
DELUXE CORP COM                      248019101         8        177 SH              X   X       01                   177

DEUTSCHE TELEKOM AG SPONSORED ADR    251566105        16      1,055 SH          X               01      1,055

DEUTSCHE TELEKOM AG SPONSORED ADR    251566105       286     19,098 SH              X   X       01                19,098

DISNEY WALT CO COM                   254687106     9,000    389,938 SH          X               01    354,146     20,057     15,735

DISNEY WALT CO COM                   254687106     1,419     61,483 SH              X   X       01      9,600     51,283        600

DOMINION RESOURCES INC/VA COM        25746U109       535      8,216 SH          X               01      7,554         13        649

DOMINION RESOURCES INC/VA COM        25746U109        32        488 SH              X   X       01                   488

DONNELLEY R R & SONS CO COM          257867101       533     17,139 SH          X               01     16,339        800

DONNELLEY R R & SONS CO COM          257867101        39      1,259 SH              X   X       01                 1,259

DOW CHEM CO COM                      260543103     2,588     79,100 SH          X               01     72,257      6,843

DOW CHEM CO COM                      260543103       815     24,919 SH              X   X       01      9,322     14,187      1,410

DU PONT E I DE NEMOURS & CO COM      263534109     3,544     75,162 SH          X               01     70,422      4,740

DU PONT E I DE NEMOURS & CO COM      263534109     1,519     32,207 SH              X   X       01      6,655     25,552

DUKE ENERGY CORP COM                 264399106     2,286     60,486 SH          X               01     47,916         38     12,532

DUKE ENERGY CORP COM                 264399106       507     13,415 SH              X   X       01      3,500      8,115      1,800

DUN & BRADSTREET CORP COM            26483E100       178      4,437 SH          X               01      4,437

DUN & BRADSTREET CORP COM            26483E100        28        700 SH              X   X       01                   700

E M C CORP MASS COM                  268648102       493     41,341 SH          X               01     41,141                   200

E M C CORP MASS COM                  268648102        75      6,312 SH              X   X       01        440      5,872

EASTMAN KODAK CO COM                 277461109       548     17,567 SH          X               01     17,567

EASTMAN KODAK CO COM                 277461109       160      5,139 SH              X   X       01        487      4,652

EATON CORP COM                       278058102        68        837 SH          X               01        837

EATON CORP COM                       278058102       402      4,970 SH              X   X       01                 4,970

ECOLAB INC COM                       278865100       384      8,404 SH          X               01      8,404

ECOLAB INC COM                       278865100       342      7,480 SH              X   X       01      4,000      3,480

                                              ----------
         PAGE TOTAL                               25,805





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   13
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
J D EDWARDS & CO COM                 281667105       271     15,000 SH          X               01     15,000

EDWARDS LIFESCIENCES CORP COM        28176E108       526     18,830 SH          X               01     18,830

EDWARDS LIFESCIENCES CORP COM        28176E108        30      1,079 SH              X   X       01                 1,079

EL PASO CORPORATION COM              28336L109       716     16,253 SH          X               01     16,253

EL PASO CORPORATION COM              28336L109       188      4,268 SH              X   X       01                 3,936        332

ELECTRONIC DATA SYS CORP NEW COM     285661104     6,890    118,805 SH          X               01    113,378        547      4,880

ELECTRONIC DATA SYS CORP NEW COM     285661104       631     10,877 SH              X   X    06 01      1,375      9,502

EMERSON ELEC CO COM                  291011104     9,459    164,815 SH          X               01    159,459      2,756      2,600

EMERSON ELEC CO COM                  291011104     1,501     26,156 SH              X   X    06 01      2,057     24,099

ENGELHARD CORP COM                   292845104       233      7,514 SH          X               01      7,514

ENGELHARD CORP COM                   292845104         2         74 SH              X   X       01                    74

ENTERGY CORP NEW COM                 29364G103       161      3,714 SH          X               01      3,714

ENTERGY CORP NEW COM                 29364G103        55      1,261 SH              X   X       01                 1,261

EQUIFAX INC COM                      294429105       206      6,883 SH          X               01      6,883

EQUIFAX INC COM                      294429105        10        332 SH              X   X       01                   332

EQUITY RESIDENTIAL PPTYS TR          29476L107       229      7,980 SH          X               01      7,980
SH BEN INT
EQUITY RESIDENTIAL PPTYS TR          29476L107         3        104 SH              X   X       01                   104
SH BEN INT
ERICSSON L M TEL CO ADR CL B SEK 10  294821400       113     27,080 SH          X               01     27,080

EXELON CORPORATION COM               30161N101       479      9,041 SH          X               01      9,041

EXELON CORPORATION COM               30161N101        17        325 SH              X   X       01                   325

EXXON MOBIL CORP COM                 30231G102    69,212  1,579,108 SH          X               01  1,521,063     18,129     39,916

EXXON MOBIL CORP COM                 30231G102    21,422    488,750 SH              X   X    06 01     87,280    399,070      2,400

FPL GROUP INC COM                    302571104     1,074     18,032 SH          X               01     15,610      2,422

FPL GROUP INC COM                    302571104       289      4,855 SH              X   X       01      1,036      3,819

FAMILY DLR STORES INC COM            307000109       254      7,568 SH          X               01      7,568

                                              ----------
         PAGE TOTAL                              113,971





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   14
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
FAMILY DLR STORES INC COM            307000109         3        104 SH              X   X       01                   104

FASTENAL CO COM                      311900104       341      4,523 SH          X               01      4,438                    85

FASTENAL CO COM                      311900104       333      4,415 SH              X   X       01      4,115        300

FEDERAL HOME LN MTG CORP COM         313400301    15,344    242,132 SH          X               01    222,380     11,522      8,230

FEDERAL HOME LN MTG CORP COM         313400301     2,043     32,239 SH              X   X    06 01      1,965     29,874        400

FEDERAL NATL MTG ASSN COM            313586109     7,594     95,065 SH          X               01     78,725      4,690     11,650

FEDERAL NATL MTG ASSN COM            313586109     2,329     29,159 SH              X   X       01      1,221     27,763        175

FEDERATED DEPT STORES INC DEL COM    31410H101       874     21,387 SH          X               01     21,387

FEDERATED DEPT STORES INC DEL COM    31410H101        22        550 SH              X   X       01                   400        150

FEDEX CORPORATION COM                31428X106       344      5,916 SH          X               01      5,900         16

FEDEX CORPORATION COM                31428X106       168      2,895 SH              X   X       01                 2,895

FIBERNET TELECOM GROUP INC COM       315653105       141    785,342 SH          X               01    785,342

FIFTH THIRD BANCORP COM              316773100     3,351     49,660 SH          X               01     49,486         24        150

FIFTH THIRD BANCORP COM              316773100     2,348     34,791 SH              X   X       01     19,543     15,248

FIRST AMERICAN CORP COM              318522307     2,679    125,908 SH          X               01    125,908

FIRST BKG CTR INC CDT-CAP STK        31928P108       226      5,943 SH          X               01      5,943

FIRST BANKERS TRUSTSHARES INC COM    31929F109       197     12,717 SH          X               01     12,717

FIRST FED CAP CORP COM               319960100        14        756 SH          X               01        756

FIRST FED CAP CORP COM               319960100     1,494     79,276 SH              X   X       01     24,352     54,924

FIRST DATA CORP COM                  319963104       847      9,712 SH          X               01      6,225      1,333      2,154

FIRST DATA CORP COM                  319963104        13        144 SH              X   X       01                   144

FIRST MID ILL BANCSHARES INC COM     320866106       314     12,408 SH              X   X       01                12,408

1ST SOURCE CORP COM                  336901103     1,291     54,503 SH              X   X       01                54,503

FIRST VA BKS INC COM                 337477103       204      3,798 SH          X               01      3,798

FISERV INC COM                       337738108     2,483     53,983 SH          X               01     53,706                   277

                                              ----------
         PAGE TOTAL                               44,997





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   15
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
FISERV INC COM                       337738108       223      4,857 SH              X   X       01        300      4,557

FIRSTENERGY CORP COM                 337932107       310      8,952 SH          X               01      8,952

FIRSTENERGY CORP COM                 337932107        29        852 SH              X   X       01                   852

FLEET BOSTON FINANCIAL CORP COM      339030108     1,999     57,118 SH          X               01     54,951         36      2,131

FLEET BOSTON FINANCIAL CORP COM      339030108       350     10,010 SH              X   X       01                 9,870        140

FORD MTR CO DEL COM PAR $0.01        345370860     2,192    132,908 SH          X               01    109,658                23,250

FORD MTR CO DEL COM PAR $0.01        345370860       580     35,150 SH              X   X       01      3,171     31,979

FOREST LABS INC COM                  345838106       620      7,594 SH          X               01      7,588          6

FOREST LABS INC COM                  345838106       695      8,507 SH              X   X       01                 8,507

FORTUNE BRANDS INC COM               349631101     2,297     46,523 SH          X               01     45,234        729        560

FORTUNE BRANDS INC COM               349631101       512     10,379 SH              X   X       01                10,379

GALLAHER GROUP PLC SPONSORED ADR     363595109       355     11,496 SH          X               01     10,776                   720

GALLAHER GROUP PLC SPONSORED ADR     363595109       173      5,620 SH              X   X       01                 5,620

GALYANS TRADING COMPANY COM          36458R101       195     12,750 SH          X               01     12,750

GANNETT INC COM                      364730101     3,894     51,163 SH          X               01     46,152      3,611      1,400

GANNETT INC COM                      364730101     1,009     13,256 SH              X   X    06 01                13,256

GAP INC COM                          364760108        15      1,000 SH          X               01      1,000

GAP INC COM                          364760108       414     27,500 SH              X   X       01                   500     27,000

GEHL CO COM                          368483103        62      4,100 SH          X               01      4,100

GEHL CO COM                          368483103       394     26,000 SH              X   X       01                26,000

GENERAL COMMUNICATION INC CL A       369385109       176     20,233 SH          X               01     20,233

GENERAL DYNAMICS CORP COM            369550108       916      9,749 SH          X               01      9,739         10

GENERAL DYNAMICS CORP COM            369550108         9         96 SH              X   X       01                    96

GENERAL ELEC CO COM                  369604103    76,635  2,046,334 SH          X               01  1,853,238    109,986     83,110

GENERAL ELEC CO COM                  369604103    25,838    689,931 SH              X   X    06 01    233,093    438,226     18,612

                                              ----------
         PAGE TOTAL                              119,892





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   16
                                                                   AS OF 03/31/02
- - - - - 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     2,982     61,039 SH          X               01     56,014      5,025

GENERAL MILLS INC COM                370334104     1,445     29,571 SH              X   X       01      6,600     14,971      8,000

GENERAL MTRS CORP COM                370442105     2,259     37,375 SH          X               01     36,143        557        675

GENERAL MTRS CORP COM                370442105       874     14,462 SH              X   X       01      3,829      9,179      1,454

GENUINE PARTS CO COM                 372460105       349      9,497 SH          X               01      8,983        514

GENUINE PARTS CO COM                 372460105       210      5,705 SH              X   X       01                 5,405        300

GEORGIA PAC CORP COM                 373298108       374     12,475 SH          X               01     12,475

GEORGIA PAC CORP COM                 373298108       289      9,635 SH              X   X       01                 9,508        127

GILLETTE CO COM                      375766102     2,321     68,251 SH          X               01     63,816      4,435

GILLETTE CO COM                      375766102       581     17,081 SH              X   X       01        800     16,281

GLAXO SMITHKLINE SPONSORED PLC ADR   37733W105     1,737     36,950 SH          X               01     35,576      1,174        200

GLAXO SMITHKLINE SPONSORED PLC ADR   37733W105     1,111     23,636 SH              X   X       01                23,136        500

GOLDEN ARCH RES LTD COM              38079K101         3     35,000 SH          X               01     35,000

GRAINGER W W INC COM                 384802104     2,533     45,049 SH          X               01     44,449                   600

GRAINGER W W INC COM                 384802104        76      1,359 SH              X   X       01                 1,359

GREENPOINT FINANCIAL CORP COM        395384100         4         89 SH          X               01         89

GREENPOINT FINANCIAL CORP COM        395384100       441     10,100 SH              X   X       01                10,100

GUIDANT CORP COM                     401698105     3,661     84,516 SH          X               01     80,431        575      3,510

GUIDANT CORP COM                     401698105       371      8,562 SH              X   X       01        895      7,667

HCA INC COM                          404119109     6,527    148,066 SH          X               01    140,926        410      6,730

HCA INC COM                          404119109       493     11,180 SH              X   X    06 01        925     10,255

HALLIBURTON CO COM                   406216101       244     14,289 SH          X               01     13,965        324

HALLIBURTON CO COM                   406216101        92      5,400 SH              X   X       01      1,300      4,100

JOHN HANCOCK FINANCIAL SERVICES COM  41014S106       226      5,922 SH          X               01      5,922

JOHN HANCOCK FINANCIAL SERVICES COM  41014S106         3         91 SH              X   X       01                    91

                                              ----------
         PAGE TOTAL                               29,206





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   17
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
HARLEY DAVIDSON INC COM              412822108    10,047    182,247 SH          X               01    176,686      4,561      1,000

HARLEY DAVIDSON INC COM              412822108     1,398     25,365 SH              X   X       01        400     24,965

HARRIS CORP DEL COM                  413875105       658     18,332 SH          X               01     18,332

HARTFORD FINL SVCS GROUP INC COM     416515104     1,560     22,907 SH          X               01     22,892         15

HARTFORD FINL SVCS GROUP INC COM     416515104       282      4,145 SH              X   X       01                 4,145

HEINZ H J CO COM                     423074103     1,955     47,115 SH          X               01     38,084         31      9,000

HEINZ H J CO COM                     423074103       586     14,113 SH              X   X       01                13,513        600

HERSHEY FOODS CORP COM               427866108       578      8,428 SH          X               01      7,228      1,200

HERSHEY FOODS CORP COM               427866108       138      2,018 SH              X   X       01        100      1,918

HEWLETT PACKARD CO COM               428236103     2,735    152,436 SH          X               01    146,427      4,009      2,000

HEWLETT PACKARD CO COM               428236103     1,092     60,847 SH              X   X    06 01     21,507     39,040        300

HIBERNIA CORP CL A                   428656102       233     12,196 SH          X               01     12,196

HILB, ROGAL & HAMILTON CO COM        431294107       203      6,520 SH          X               01      6,520

HILTON HOTELS CORP COM               432848109       339     23,700 SH          X               01     23,700

HILTON HOTELS CORP COM               432848109        10        734 SH              X   X       01        400        334

HOLLYWOOD CASINO CORP CL A COM       436132203       504     30,590 SH          X               01     30,590

HOME DEPOT INC COM                   437076102    14,862    305,742 SH          X               01    287,707      6,100     11,935

HOME DEPOT INC COM                   437076102     2,947     60,620 SH              X   X    06 01     11,381     49,239

HONEYWELL INTERNATIONAL INC COM      438516106     1,059     27,684 SH          X               01     24,284                 3,400

HONEYWELL INTERNATIONAL INC COM      438516106       673     17,594 SH              X   X       01      1,400     15,846        348

HORIZON OFFSHORE INC COM             44043J105       133     11,330 SH          X               01     11,330

HOUSEHOLD INTERNATIONAL INC COM      441815107     1,504     26,481 SH          X               01     21,474      5,007

HOUSEHOLD INTERNATIONAL INC COM      441815107       766     13,483 SH              X   X       01                13,483

HOUSTON EXPL CO COM                  442120101       217      7,000 SH          X               01      7,000

HUDSON UNITED BANCORP COM            444165104       283      8,912 SH          X               01      8,912

                                              ----------
         PAGE TOTAL                               44,762





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   18
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
HUMANA INC COM                       444859102       184     13,602 SH          X               01     13,602

IMS HEALTH INC COM                   449934108       261     11,616 SH          X               01     11,616

IMS HEALTH INC COM                   449934108       169      7,533 SH              X   X       01                 7,533

ISA INTERNATIONALE INC COM           450083100         7    459,000 SH          X               01    459,000

ITT INDS INC COM                     450911102       673     10,673 SH          X               01     10,673

ITT INDS INC COM                     450911102        35        548 SH              X   X       01                   548

ILLINOIS TOOL WORKS INC COM          452308109     4,909     67,849 SH          X               01     67,049                   800

ILLINOIS TOOL WORKS INC COM          452308109     2,240     30,958 SH              X   X       01      3,750     27,208

INTEL CORP COM                       458140100    22,154    728,502 SH          X               01    672,677     22,200     33,625

INTEL CORP COM                       458140100     7,024    230,981 SH              X   X    06 01     26,405    172,376     32,200

INTERACTIVE INTELLIGENCE INC COM     45839M103        72     13,180 SH              X   X       01                13,180

INTERMUNE INC COM                    45884X103       306     10,190 SH          X               01     10,190

INTERNATIONAL BUSINESS MACHS COM     459200101    30,374    292,061 SH          X               01    270,897      4,493     16,671

INTERNATIONAL BUSINESS MACHS COM     459200101     9,614     92,442 SH              X   X    06 01     13,442     78,300        700

INTL FLAVORS & FRAGRANCES COM        459506101       464     13,264 SH          X               01     13,264

INTERNATIONAL GAME TECHNOLOGY COM    459902102       293      4,702 SH          X               01      4,702

INTERNATIONAL GAME TECHNOLOGY COM    459902102         7        117 SH              X   X       01                   117

INTERNATIONAL PAPER CO COM           460146103     1,669     38,816 SH          X               01     37,990        826

INTERNATIONAL PAPER CO COM           460146103       268      6,220 SH              X   X       01      1,559      4,661

INTERPUBLIC GROUP COS INC COM        460690100     1,765     51,492 SH          X               01     48,592      2,400        500

INTERPUBLIC GROUP COS INC COM        460690100       109      3,175 SH              X   X       01        375      2,800

INTRAWEST CORP COM NEW               460915200       746     41,290 SH          X               01     41,290

INTUIT INC COM                       461202103       198      5,151 SH          X               01      5,129         22

INTUIT INC COM                       461202103         5        135 SH              X   X       01                   135

ISHARES TRUST-S&P 500 FUND           464287200     2,495     21,796 SH          X               01     21,796

                                              ----------
         PAGE TOTAL                               86,041





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   19
                                                                   AS OF 03/31/02
- - - - - 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 TRUST-S&P 500/BARRA GROWTH   464287309       230      3,900 SH          X               01      3,900
INDEX FUND
ISHARES TRUST-S&P 500/BARRA GROWTH   464287309        10        170 SH              X   X       01                   170
INDEX FUND
ISHARES TRUST-S&P 500/BARRA          464287408       273      4,885 SH          X               01      4,885

ISHARES TRUST-S&P 500/BARRA          464287408        89      1,600 SH              X   X       01                 1,600

ISHARES MSCI EAFE INDEX FD           464287465     3,579     29,799 SH          X               01     29,259        540

ISHARES MSCI EAFE INDEX FD           464287465       224      1,865 SH              X   X       01                 1,865

ISHARES TR S&P MIDCAP 400 INDEX FUND 464287507     2,484     23,007 SH          X               01     23,007

ISHARES TR S&P MIDCAP 400 INDEX FUND 464287507        49        450 SH              X   X       01                   450

ISHARES TRUST-RUSSELL 2000 INDEX     464287655     1,234     12,330 SH          X               01     12,330
FUND
ISHARES TR DOW JONES US              464287713       429     16,381 SH          X               01     16,381
TELECOMMUNICATIONS SECTOR INDEX
ISHARES TR DOW JONES US              464287713         6        227 SH              X   X       01                   227
TELECOMMUNICATIONS SECTOR INDEX
ISHARES TR-DOW JONES TECH SECTOR     464287721       279      5,629 SH          X               01      5,629
INDEX FUND
ISHARES DJ US INDUSTRIAL SEC         464287754       370      7,444 SH          X               01      7,444

ISHARES DOW JONES US HEALTHCARE SEC  464287762       244      4,015 SH          X               01      4,015

ISHARES DOW JONES US HEALTHCARE SEC  464287762         3         57 SH              X   X       01                    57

ISHARES S&P SMALLCAP 600 INDEX       464287804     1,844     15,055 SH          X               01     14,620        435

ISHARES S&P SMALLCAP 600 INDEX       464287804       109        890 SH              X   X       01                   890

J P MORGAN CHASE & CO COM            46625H100     5,346    149,962 SH          X               01    145,154      2,663      2,145

J P MORGAN CHASE & CO COM            46625H100     1,261     35,377 SH              X   X    06 01      1,019     34,358

JABIL CIRCUIT INC COM                466313103       277     11,782 SH          X               01     11,782

JABIL CIRCUIT INC COM                466313103         5        212 SH              X   X       01                   212

JEFFERSON PILOT CORP COM             475070108       165      3,302 SH          X               01      3,302

JEFFERSON PILOT CORP COM             475070108        55      1,094 SH              X   X       01      1,056         38

JOHNSON & JOHNSON COM                478160104    38,123    586,955 SH          X               01    544,617     23,679     18,659

JOHNSON & JOHNSON COM                478160104     9,955    153,267 SH              X   X    06 01     27,452    105,815     20,000

                                              ----------
         PAGE TOTAL                               66,643





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   20
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
JOHNSON CONTROLS INC COM             478366107     4,642     52,570 SH          X               01     50,146      2,424

JOHNSON CONTROLS INC COM             478366107     1,745     19,762 SH              X   X       01        512     18,350        900

KLA-TENCOR CORP COM                  482480100     1,046     15,727 SH          X               01     15,727

KLA-TENCOR CORP COM                  482480100       101      1,525 SH              X   X       01                 1,525

KMART CORP COM                       482584109        17     10,600 SH          X               01     10,600

KMART CORP COM                       482584109         0        250 SH              X   X       01                   250

KELLOGG CO COM                       487836108     1,714     51,059 SH          X               01     51,059

KELLOGG CO COM                       487836108     4,718    140,547 SH              X   X       01      3,700    136,847

KEYCORP NEW COM                      493267108       343     12,853 SH          X               01     12,053        800

KEYCORP NEW COM                      493267108        51      1,900 SH              X   X       01                 1,900

KEYSPAN CORPORATION COM              49337W100       222      6,100 SH          X               01      6,100

KEYSPAN CORPORATION COM              49337W100        40      1,102 SH              X   X       01        176        926

KIMBERLY CLARK CORP COM              494368103    38,049    588,537 SH          X               01    559,101     26,067      3,369

KIMBERLY CLARK CORP COM              494368103     8,072    124,863 SH              X   X    06 01     35,790     86,873      2,200

KINDER MORGAN ENERGY PARTNERS L P    494550106       492     14,896 SH          X               01      4,896                10,000
UNIT LTD PARTNERSHIP INT
KINDER MORGAN ENERGY PARTNERS L P    494550106       284      8,600 SH              X   X       01      8,000        600
UNIT LTD PARTNERSHIP INT
KING PHARMACEUTICALS INC COM         495582108       242      6,924 SH          X               01      6,924

KING PHARMACEUTICALS INC COM         495582108        48      1,364 SH              X   X       01                 1,364

KOHLS CORP COM                       500255104    32,054    450,518 SH          X               01    416,025     21,370     13,123

KOHLS CORP COM                       500255104     4,412     62,016 SH              X   X    06 01      7,075     54,141        800

KOSS CORP COM                        500692108       158     11,000 SH              X   X       01                11,000

KROGER CO COM                        501044101       275     12,422 SH          X               01     12,366         56

KROGER CO COM                        501044101         5        239 SH              X   X       01                   239

LSI LOGIC CORPORATION COM            502161102       116      6,836 SH          X               01      6,836

LSI LOGIC CORPORATION COM            502161102       132      7,756 SH              X   X       01                 7,756

                                              ----------
         PAGE TOTAL                               98,978





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   21
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
LAKEFRONT PARTNERS LLC               51151A909     3,040  1,000,000 SH              X   X       01             1,000,000

LATITUDE MINERALS CORP COM           517936100         5    197,000 SH          X               01    197,000

LAUDER ESTEE COS INC CL A            518439104     4,127    120,825 SH          X               01    114,575                 6,250

LAUDER ESTEE COS INC CL A            518439104       398     11,650 SH              X   X       01      1,400     10,250

LEE ENTERPRISES INC CL B             523768208    12,872    348,838 SH          X               01                          348,838

LEHMAN BROTHERS HLDGS INC COM        524908100       202      3,122 SH          X               01      3,122

LEHMAN BROTHERS HLDGS INC COM        524908100         2         34 SH              X   X       01                    34

LEXMARK INTL GROUP INC CL A          529771107     1,875     32,784 SH          X               01     32,334                   450

LEXMARK INTL GROUP INC CL A          529771107        62      1,083 SH              X   X       01                 1,083

LIBERTY MEDIA CORP NEW A COM         530718105       130     10,268 SH          X               01     10,268

LILLY ELI & CO COM                   532457108     4,551     59,728 SH          X               01     56,706        842      2,180

LILLY ELI & CO COM                   532457108     1,138     14,936 SH              X   X       01      8,991      5,945

LINCOLN NATL CORP IND COM            534187109     2,507     49,428 SH          X               01     48,728                   700

LINCOLN NATL CORP IND COM            534187109       513     10,114 SH              X   X       01                10,114

LINEAR RESOURCES INC COM             535673107        10     12,250 SH          X               01     12,250

LINEAR TECHNOLOGY CORP COM           535678106       261      5,903 SH          X               01      5,903

LINEAR TECHNOLOGY CORP COM           535678106         1         33 SH              X   X       01                    33

LOCKHEED MARTIN CORP COM             539830109       429      7,453 SH          X               01      6,757         24        672

LOCKHEED MARTIN CORP COM             539830109       135      2,337 SH              X   X       01                   989      1,348

LONE STAR TECHNOLOGIES INC COM       542312103       412     18,050 SH          X               01     18,050

LONGVIEW FIBRE CO COM                543213102       713     69,260 SH          X               01     63,127      5,333        800

LOWES COMPANIES COM                  548661107     8,356    192,138 SH          X               01    186,314      1,314      4,510

LOWES COMPANIES COM                  548661107     1,000     22,985 SH              X   X       01      1,740     21,245

LUCENT TECHNOLOGIES INC COM          549463107     1,106    233,920 SH          X               01    225,356      3,194      5,370

LUCENT TECHNOLOGIES INC COM          549463107       256     54,081 SH              X   X       01      3,521     45,636      4,924

                                              ----------
         PAGE TOTAL                               44,101





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   22
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
MBIA INC COM                         55262C100       217      3,967 SH          X               01      3,967

MBIA INC COM                         55262C100         7        122 SH              X   X       01                   122

MBNA CORP COM                        55262L100       505     13,106 SH          X               01     12,607         40        459

MBNA CORP COM                        55262L100       496     12,870 SH              X   X       01                12,870

MDU RES GROUP INC COM                552690109     2,650     85,490 SH          X               01     57,142     28,348

MDU RES GROUP INC COM                552690109       403     13,010 SH              X   X       01      9,179      3,831

MGIC INVT CORP WIS COM               552848103     7,705    112,603 SH          X               01    108,598        990      3,015

MGIC INVT CORP WIS COM               552848103       636      9,292 SH              X   X       01      1,300      7,992

MADISON GAS & ELEC CO COM            557497104     2,148     75,594 SH          X               01     75,244        350

MADISON GAS & ELEC CO COM            557497104        87      3,060 SH              X   X       01                 3,060

MANITOWOC CO INC COM                 563571108     2,212     55,997 SH          X               01     55,997

MANPOWER INC WIS COM                 56418H100       202      5,195 SH          X               01      5,195

MARATHON OIL CORP COM                565849106       290     10,081 SH          X               01     10,081

MARATHON OIL CORP COM                565849106       156      5,433 SH              X   X       01                 5,433

MARCUS CORP COM                      566330106         5        318 SH          X               01         96                   222

MARCUS CORP COM                      566330106       326     20,250 SH              X   X       01                20,250

LEM HOLDING SA-REG                   5716119         208      1,250 SH              X   X       01                 1,250

MARSH & MCLENNAN COS COM             571748102     5,675     50,339 SH          X               01     47,983      2,201        155

MARSH & MCLENNAN COS COM             571748102       469      4,159 SH              X   X       01        700      3,459

MARSHALL & ILSLEY CORP COM           571834100   131,912  2,119,403 SH          X               01    930,009      7,163  1,182,231

MARSHALL & ILSLEY CORP COM           571834100    64,110  1,030,044 SH              X   X    06 01     52,906    413,261    563,877

MASCO CORP COM                       574599106       651     23,703 SH          X               01     23,703

MASCO CORP COM                       574599106         1         49 SH              X   X       01                    49

MATTEL INC COM                       577081102       413     19,806 SH          X               01     19,782         24

MATTEL INC COM                       577081102         4        176 SH              X   X       01                   176

                                              ----------
         PAGE TOTAL                              221,488





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   23
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
MAXIM INTEGRATED PRODUCTS COM        57772K101       307      5,512 SH          X               01      5,512

MAXIM INTEGRATED PRODUCTS COM        57772K101         3         46 SH              X   X       01                    46

MAY DEPT STORES CO COM               577778103       429     12,322 SH          X               01     12,322

MAY DEPT STORES CO COM               577778103       101      2,908 SH              X   X       01      1,032         81      1,795

MAYTAG CORP COM                      578592107       575     12,984 SH          X               01     12,984

MAYTAG CORP COM                      578592107        90      2,041 SH              X   X       01                 2,041

MCDONALDS CORP COM                   580135101     4,843    174,505 SH          X               01    160,316     14,189

MCDONALDS CORP COM                   580135101     1,935     69,728 SH              X   X       01     37,572     31,656        500

MCGRAW HILL COMPANIES INC COM        580645109     5,055     74,073 SH          X               01     63,077     10,996

MCGRAW HILL COMPANIES INC COM        580645109       403      5,904 SH              X   X       01                 5,904

MCKESSON CORP COM                    58155Q103       182      4,872 SH          X               01      4,860         12

MCKESSON CORP COM                    58155Q103        93      2,488 SH              X   X       01      2,400         88

MEADWESTVACO CORP COM                583334107       928     28,000 SH          X               01     28,000

MEADWESTVACO CORP COM                583334107       837     25,262 SH              X   X       01                25,262

MEDIMMUNE INC COM                    584699102       130      3,315 SH          X               01      3,315

MEDIMMUNE INC COM                    584699102       112      2,850 SH              X   X       01                 2,850

MEDTRONIC INC COM                    585055106     2,250     49,762 SH          X               01     46,109        103      3,550

MEDTRONIC INC COM                    585055106       792     17,523 SH              X   X       01      1,820     15,703

MELLON FINANCIAL CORP COM            58551A108     1,667     43,193 SH          X               01     43,193

MELLON FINANCIAL CORP COM            58551A108       147      3,820 SH              X   X       01        520      3,300

MERCANTILE BANCORP -QUINCY COM       58734P105       238      1,377 SH          X               01        977                   400

MERCHANTS & MFRS BANCORPORATION INC  588327106       404     14,056 SH          X               01     14,056
COM
MERCK & CO INC COM                   589331107    29,530    512,851 SH          X               01    469,323     22,201     21,327

MERCK & CO INC COM                   589331107     7,475    129,814 SH              X   X    06 01     50,567     77,847      1,400

MERRILL LYNCH & CO INC COM           590188108     1,236     22,317 SH          X               01     22,013         28        276

                                              ----------
         PAGE TOTAL                               59,762





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   24
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
MERRILL LYNCH & CO INC COM           590188108       173      3,128 SH              X   X       01        400      2,728

METLIFE INC COM                      59156R108       382     12,127 SH          X               01     12,127

METLIFE INC COM                      59156R108       122      3,875 SH              X   X       01                 3,875

MICHIGAN HERITAGE BANCORP INC COM    59451T106       107     20,000 SH          X               01                           20,000

MICROSOFT CORP COM                   594918104    31,252    518,194 SH          X               01    456,128     23,944     38,122

MICROSOFT CORP COM                   594918104     5,567     92,309 SH              X   X    06 01     16,064     75,945        300

MICRON TECHNOLOGY INC COM            595112103     6,375    193,754 SH          X               01    189,532      1,890      2,332

MICRON TECHNOLOGY INC COM            595112103     1,093     33,223 SH              X   X    06 01      5,655     27,568

MIDCAP SPDR TR UNIT SER 1            595635103     9,098     92,083 SH          X               01     91,348        735

MIDCAP SPDR TR UNIT SER 1            595635103       828      8,377 SH              X   X       01                 8,377

MIDWAY GAMES INC COM                 598148104       549     40,820 SH          X               01     40,820

MIKOHN GAMING CORP COM               59862K108       470     84,030 SH          X               01     84,030

MINEX RES INC                        603470105         2    135,000 SH              X   X       01               135,000
COM
MINNESOTA MNG & MFG CO COM           604059105    11,746    102,126 SH          X               01     95,142      5,852      1,132

MINNESOTA MNG & MFG CO COM           604059105     3,645     31,695 SH              X   X    06 01     10,186     20,309      1,200

MIRA PROPERTIES LTD COM              604589101         4     15,500 SH          X               01     15,500

MODINE MFG CO COM                    607828100    16,728    619,786 SH          X               01     11,400               608,386

MODINE MFG CO COM                    607828100       529     19,600 SH              X   X       01                19,600

MOLEX INC COM                        608554101       532     15,359 SH          X               01     14,109                 1,250

MOLEX INC COM                        608554101        90      2,588 SH              X   X       01                 2,588

MOODYS CORP COM                      615369105       652     15,859 SH          X               01     15,859

MOODYS CORP COM                      615369105       270      6,561 SH              X   X       01                 6,561

MORGAN STANLEY DEAN WITTER & COMPANY 617446448     7,568    132,050 SH          X               01    129,426      1,338      1,286
COM NEW
MORGAN STANLEY DEAN WITTER & COMPANY 617446448       803     14,008 SH              X   X       01        350     12,658      1,000
COM NEW
MOTOROLA INC COM                     620076109       709     49,908 SH          X               01     49,308        600

                                              ----------
         PAGE TOTAL                               99,294





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   25
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
MOTOROLA INC COM                     620076109       343     24,173 SH              X   X       01      3,600     19,373      1,200

NABORS INDS INC COM                  629568106       218      5,155 SH          X               01      5,155

NABORS INDS INC COM                  629568106         3         69 SH              X   X       01                    69

NASDAQ 100 TR UNIT SER 1             631100104       175      4,850 SH          X               01      4,850

NASDAQ 100 TR UNIT SER 1             631100104        36        985 SH              X   X       01                   985

NATCOM BANCSHARES INC COM            633318910       467      1,080 SH          X               01      1,080

NATIONAL CITY CORP COM               635405103     1,318     42,854 SH          X               01     42,810         44

NATIONAL CITY CORP COM               635405103       137      4,466 SH              X   X       01                 4,316        150

NATIONAL FUEL GAS CO COM             636180101       247     10,142 SH          X               01     10,142

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

NATIONAL PRESTO INDS INC COM         637215104       226      7,864 SH          X               01      7,864

NATIONAL PRESTO INDS INC COM         637215104        58      2,000 SH              X   X       01                 2,000

NATIONAL SEMICONDUCTOR CORP COM      637640103     4,631    137,455 SH          X               01    133,215                 4,240

NATIONAL SEMICONDUCTOR CORP COM      637640103       358     10,620 SH              X   X    06 01                10,620

NEOTHERAPEUTICS INC COM              640656104       136     83,560 SH          X               01     83,560

NEW YORK TIMES CO CLASS A COM        650111107     1,596     33,345 SH          X               01     30,845                 2,500

NEW YORK TIMES CO CLASS A COM        650111107        28        593 SH              X   X    06 01                   593

NEWELL RUBBERMAID INC COM            651229106     1,512     47,324 SH          X               01     46,939        385

NEWELL RUBBERMAID INC COM            651229106       584     18,285 SH              X   X       01      9,000      7,409      1,876

NICOR INC COM                        654086107       178      3,901 SH          X               01      3,901

NICOR INC COM                        654086107        25        548 SH              X   X       01                   548

NIKE INC CLASS B                     654106103       204      3,400 SH          X               01      3,382         18

NIKE INC CLASS B                     654106103        78      1,295 SH              X   X       01                 1,295

NISOURCE INC COM                     65473P105     1,161     50,608 SH          X               01     50,608

NISOURCE INC COM                     65473P105        48      2,100 SH              X   X       01        400      1,700

                                              ----------
         PAGE TOTAL                               13,834





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   26
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
NOBLE AFFILIATES INC COM             654894104       410     10,488 SH          X               01     10,488

NOKIA CORP SPONSORED ADR             654902204       816     39,325 SH          X               01     33,300                 6,025

NOKIA CORP SPONSORED ADR             654902204       437     21,077 SH              X   X       01                16,757      4,320

NOBLE DRILLING CORP COM              655042109       299      7,236 SH          X               01      7,236

NOBLE DRILLING CORP COM              655042109         8        187 SH              X   X       01                   187

NOBLE METAL GROUP INC COM            65506F108         4     50,000 SH          X               01     50,000

NORFOLK SOUTHN CORP COM              655844108       553     23,100 SH          X               01     23,100

NORFOLK SOUTHN CORP COM              655844108        89      3,723 SH              X   X       01                 3,298        425

NORTEL NETWORKS CORP NEW COM         656568102        28      6,314 SH          X               01      6,314

NORTEL NETWORKS CORP NEW COM         656568102        60     13,285 SH              X   X       01                12,885        400

NORTH AMERN GROUP LTD COM            656867108         1     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        25        689 SH          X               01        689

NORTH FORK BANCORPORATION INC NY COM 659424105       320      9,000 SH              X   X       01                 9,000

NORTHERN TR CORP COM                 665859104       474      7,886 SH          X               01      7,786        100

NORTHERN TR CORP COM                 665859104       159      2,637 SH              X   X       01        525      2,112

NOVELLUS SYS INC COM                 670008101       254      4,695 SH          X               01      4,695

NOVELLUS SYS INC COM                 670008101         9        162 SH              X   X       01                   162

NUCOR CORP COM                       670346105     1,166     18,151 SH          X               01     18,149          2

NUCOR CORP COM                       670346105         1         23 SH              X   X       01                    23

OCCIDENTAL PETROLEUM CORP COM        674599105     1,196     41,024 SH          X               01     41,000         24

OCCIDENTAL PETROLEUM CORP COM        674599105       167      5,720 SH              X   X       01      2,100      3,220        400

OCONOMOWOC BANCSHARES INC COM        675626105       303      3,000 SH          X               01      3,000

OLD NATL BANCORP IND COM             680033107       530     21,669 SH          X               01     21,669

OLD REP INTL CORP COM                680223104       169      5,295 SH          X               01      5,295

                                              ----------
         PAGE TOTAL                                7,478





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   27
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
OLD REP INTL CORP COM                680223104     6,619    207,051 SH              X   X       01               207,051

OMNICOM GROUP COM                    681919106     1,108     11,739 SH          X               01      6,721      5,018

OMNICOM GROUP COM                    681919106        55        584 SH              X   X       01                   584

OPLINK COMMUNICATIONS INC COM        68375Q106       343    221,290 SH          X               01    221,290

OPNET TECHNOLOGIES INC COM           683757108       427     44,840 SH          X               01     44,840

ORACLE CORP COM                      68389X105     2,178    170,156 SH          X               01    162,567        690      6,899

ORACLE CORP COM                      68389X105       684     53,406 SH              X   X       01      1,888     51,518

OPTION CARE INC COM                  683948103       318     19,290 SH          X               01     19,290

OSHKOSH TRUCK CORP CL B              688239201       538      9,457 SH          X               01      5,407                 4,050

OSHKOSH TRUCK CORP CL B              688239201       876     15,400 SH              X   X       01                15,400

OTTER TAIL CORPORATION COM           689648103       229      7,400 SH          X               01      7,400

OUTBACK STEAKHOUSE INC COM           689899102       218      6,083 SH          X               01      6,083

OUTLOOK GROUP CORP COM               690113105       229     44,750 SH          X               01     44,750

PNC FINANCIAL SERVICES GROUP COM     693475105     1,029     16,730 SH          X               01     16,724          6

PNC FINANCIAL SERVICES GROUP COM     693475105       151      2,450 SH              X   X       01        950      1,500

PPG INDS INC COM                     693506107     1,196     21,781 SH          X               01     21,781

PPG INDS INC COM                     693506107       294      5,346 SH              X   X       01      4,000      1,346

PPL CORP COM                         69351T106       219      5,517 SH          X               01      5,517

PPL CORP COM                         69351T106         7        171 SH              X   X       01                   171

PALM INC COM                         696642107        48     12,000 SH              X   X       01                12,000

PARKER HANNIFIN CORP COM             701094104       908     18,200 SH          X               01     18,200

PAYCHEX INC COM                      704326107       374      9,417 SH          X               01      9,174         18        225

PAYCHEX INC COM                      704326107        46      1,158 SH              X   X       01        300        858

PEMSTAR INC COM                      706552106       271     28,190 SH          X               01     28,190

PEOPLESOFT INC COM                   712713106       218      5,962 SH          X               01      5,962

                                              ----------
         PAGE TOTAL                               18,583





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   28
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
PEOPLESOFT INC COM                   712713106        19        518 SH              X   X       01                   518

PEPSI BOTTLING GROUP INC COM         713409100       200      7,732 SH          X               01      7,732

PEPSI BOTTLING GROUP INC COM         713409100         1         26 SH              X   X       01                    26

PEPSICO INC COM                      713448108    18,582    360,817 SH          X               01    344,706     13,850      2,261

PEPSICO INC COM                      713448108     4,089     79,405 SH              X   X    06 01      9,145     66,630      3,630

PFIZER INC COM                       717081103    45,927  1,155,693 SH          X               01  1,075,695     42,191     37,807

PFIZER INC COM                       717081103    10,995    276,676 SH              X   X    06 01     29,661    232,715     14,300

PHARMACIA CORPORATION COM            71713U102     8,866    196,672 SH          X               01    189,882                 6,790

PHARMACIA CORPORATION COM            71713U102       746     16,540 SH              X   X    06 01        825     14,665      1,050

PHILIP MORRIS COMPANIES INC COM      718154107    60,120  1,141,439 SH          X               01    226,237      5,842    909,360

PHILIP MORRIS COMPANIES INC COM      718154107     7,361    139,759 SH              X   X       01     12,700    126,984         75

PHILLIPS PETE CO COM                 718507106     1,040     16,559 SH          X               01     16,291         25        243

PHILLIPS PETE CO COM                 718507106       163      2,596 SH              X   X       01         75      2,321        200

PHOTOCHANNEL NETWORKS INC COM        719316101         6     70,000 SH          X               01     70,000

PINNACLE ENTERTAINMENT INC COM       723456109       553     68,580 SH          X               01     68,580

PINNACLE WEST CAP CORP COM           723484101       859     18,950 SH          X               01     17,650      1,300

PINNACLE WEST CAP CORP COM           723484101        23        500 SH              X   X       01                   500

PITNEY BOWES INC COM                 724479100       377      8,802 SH          X               01      8,541        261

PITNEY BOWES INC COM                 724479100        27        639 SH              X   X       01                   639

PLEXUS CORP COM                      729132100        59      2,500 SH          X               01      2,500

PLEXUS CORP COM                      729132100       352     14,909 SH              X   X       01                14,909

PLUM CREEK TIMBER CO-REIT COM        729251108       371     12,479 SH          X               01     12,479

PLUM CREEK TIMBER CO-REIT COM        729251108        77      2,579 SH              X   X       01                 2,579

POWELL INDS INC COM                  739128106       626     28,200 SH              X   X       01                28,200

POWERWAVE TECHNOLOGIES INC COM       739363109       310     24,057 SH          X               01     24,057

                                              ----------
         PAGE TOTAL                              161,749





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   29
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
PRAXAIR INC COM                      74005P104       259      4,325 SH          X               01      4,325

PRAXAIR INC COM                      74005P104         1         12 SH              X   X       01                    12

PRINCIPAL FINANCIAL GROUP INC COM    74251V102       307     12,136 SH          X               01     12,136

PRINCIPAL FINANCIAL GROUP INC COM    74251V102         9        365 SH              X   X       01                   365

PRIORITY HEALTHCARE CORP CL B        74264T102       315     12,095 SH          X               01     12,095

PROCTER & GAMBLE CO COM              742718109    25,353    281,423 SH          X               01    270,180      2,953      8,290

PROCTER & GAMBLE CO COM              742718109     4,107     45,586 SH              X   X    06 01     11,287     34,299

PROGRESS ENERGY INC COM              743263105       854     17,067 SH          X               01     17,039         28

PROGRESS ENERGY INC COM              743263105       145      2,897 SH              X   X       01                 2,897

PROGRESSIVE CORP COM                 743315103     1,062      6,375 SH          X               01      6,375

PROGRESSIVE CORP COM                 743315103        67        402 SH              X   X       01                   402

PRUDENTIAL FINANCIAL INC COM         744320102       662     21,314 SH          X               01     21,314

PRUDENTIAL FINANCIAL INC COM         744320102        11        343 SH              X   X       01                   343

PUBLIC SVC ENTERPRISE GROUP INC COM  744573106       268      5,860 SH          X               01      5,860

PUBLIC SVC ENTERPRISE GROUP INC COM  744573106       268      5,851 SH              X   X       01                 5,851

QLOGIC CORP COM                      747277101       300      6,053 SH          X               01      6,053

QLOGIC CORP COM                      747277101         4         85 SH              X   X       01                    85

QUALCOMM INC COM                     747525103     1,645     43,695 SH          X               01     43,175         20        500

QUALCOMM INC COM                     747525103       278      7,383 SH              X   X       01        450      6,933

QUALIFIED HSG PARTNERS LTD           747527901        20     20,000 SH          X               01     20,000
PARTNERSHIP
QUEST DIAGNOSTICS INC COM            74834L100       301      3,632 SH          X               01      3,632

QUEST DIAGNOSTICS INC COM            74834L100        25        300 SH              X   X       01                   300

QWEST COMMUNICATIONS INTL COM        749121109       249     30,344 SH          X               01     30,344

QWEST COMMUNICATIONS INTL COM        749121109       108     13,115 SH              X   X       01        248     12,867

RADIAN GROUP INC COM                 750236101       325      6,617 SH          X               01      6,617

                                              ----------
         PAGE TOTAL                               36,943





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   30
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
RADIOSHACK CORP COM                  750438103     6,623    220,474 SH          X               01    219,324                 1,150

RADIOSHACK CORP COM                  750438103       223      7,440 SH              X   X       01        200      7,240

RAYTHEON COM NEW                     755111507     1,566     38,145 SH          X               01     18,105        632     19,408

RAYTHEON COM NEW                     755111507        55      1,336 SH              X   X       01                 1,336

REALTY INCOME CORP COM               756109104       253      7,617 SH          X               01      7,617

REGAL BELOIT CORP COM                758750103    17,735    694,118 SH          X               01    691,718      2,400

REGAL BELOIT CORP COM                758750103       217      8,500 SH              X   X       01                 8,500

REGIS CORP MINN COM                  758932107       398     14,180 SH          X               01     14,180

REGIONS FINANCIAL CORP COM           758940100       264      7,687 SH          X               01      7,687

REGIONS FINANCIAL CORP COM           758940100         6        171 SH              X   X       01                   171

RELIANT ENERGY INC COM               75952J108       403     15,629 SH          X               01     14,901        400        328

RELIANT ENERGY INC COM               75952J108        98      3,810 SH              X   X       01        430      3,380

RIVERWOOD APTS LIMITED PARTNERSHIP   76950A909     2,356          1 SH          X               01          1
1/2 INT IN 95% INT
RIVERWOOD APTS LIMITED PARTNERSHIP   76950A909     2,356          1 SH              X   X       01                     1
1/2 INT IN 95% INT
ROCKWELL AUTOMATION INC COM          773903109       897     44,700 SH          X               01     43,200        500      1,000

ROCKWELL AUTOMATION INC COM          773903109        95      4,736 SH              X   X       01                   536      4,200

ROCKWELL COLLINS INC COM             774341101     1,369     54,294 SH          X               01     53,294                 1,000

ROCKWELL COLLINS INC COM             774341101        64      2,533 SH              X   X       01                 2,533

ROYAL DUTCH PETE CO N Y REGISTRY SH  780257804    14,334    263,883 SH          X               01    242,433      6,761     14,689
PAR N GLDR 1.25
ROYAL DUTCH PETE CO N Y REGISTRY SH  780257804     2,884     53,100 SH              X   X    06 01     13,850     38,850        400
PAR N GLDR 1.25
SBC COMMUNICATIONS INC COM           78387G103    28,670    765,755 SH          X               01    717,765     24,134     23,856

SBC COMMUNICATIONS INC COM           78387G103     8,758    233,910 SH              X   X    06 01     26,013    199,828      8,069

SPDR TR UNIT SER 1                   78462F103     6,219     54,303 SH          X               01     52,658        395      1,250

SPDR TR UNIT SER 1                   78462F103       510      4,455 SH              X   X       01                 4,455

SPX CORP COM                         784635104       214      1,511 SH          X               01      1,511

                                              ----------
         PAGE TOTAL                               96,567





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   31
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
SPX CORP COM                         784635104         7         50 SH              X   X       01                    50

SAFECO CORP COM                      786429100     1,072     33,450 SH          X               01     33,450

SAFECO CORP COM                      786429100        51      1,600 SH              X   X       01                 1,600

SAFEWAY INC COM NEW                  786514208     3,350     74,405 SH          X               01     65,442        713      8,250

SAFEWAY INC COM NEW                  786514208       169      3,748 SH              X   X    06 01                 3,748

ST JOE CORP COM                      790148100       240      8,000 SH          X               01      8,000

ST JUDE MED INC COM                  790849103       210      2,725 SH          X               01      2,725

ST JUDE MED INC COM                  790849103         5         62 SH              X   X       01                    62

ST PAUL COS INC COM                  792860108       507     11,057 SH          X               01     11,057

ST PAUL COS INC COM                  792860108        79      1,718 SH              X   X       01      1,700         18

SAKS INC COM                         79377W108       173     13,141 SH          X               01     13,141

SAP AG-SPONSORED ADR                 803054204       381     10,250 SH          X               01     10,250

SAP AG-SPONSORED ADR                 803054204        76      2,050 SH              X   X       01                 2,050

SARA LEE CORP COM                    803111103     3,081    148,401 SH          X               01    141,395      4,006      3,000

SARA LEE CORP COM                    803111103     1,205     58,051 SH              X   X       01     28,600     24,121      5,330

SCHERING PLOUGH CORP COM             806605101    10,108    322,939 SH          X               01    293,357     13,482     16,100

SCHERING PLOUGH CORP COM             806605101     2,037     65,084 SH              X   X    06 01     20,114     41,170      3,800

SCHLUMBERGER LTD COM                 806857108     4,718     80,213 SH          X               01     76,797      1,829      1,587

SCHLUMBERGER LTD COM                 806857108       976     16,586 SH              X   X    06 01      1,000     15,486        100

SCHWAB CHARLES CORP NEW COM          808513105       298     22,753 SH          X               01     18,853                 3,900

SCHWAB CHARLES CORP NEW COM          808513105        41      3,107 SH              X   X       01                 3,107

SCIENTIFIC ATLANTA INC COM           808655104       211      9,134 SH          X               01      7,984                 1,150

SCIENTIFIC ATLANTA INC COM           808655104         6        272 SH              X   X       01                   272

SCOTTISH POWER PLC ADR COM           81013T705       214     10,454 SH          X               01     10,454

SCOTTISH POWER PLC ADR COM           81013T705        41      2,015 SH              X   X       01                 1,551        464

                                              ----------
         PAGE TOTAL                               29,256





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   32
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
SEARS ROEBUCK & CO COM               812387108     2,105     41,055 SH          X               01     41,037         18

SEARS ROEBUCK & CO COM               812387108        96      1,875 SH              X   X       01        500      1,300         75

SECURITY NATL CORP IOWA COM          814784104       409      7,051 SH              X   X       01                 7,051

SENSIENT TECHNOLOGIES CORP COM       81725T100       484     21,017 SH          X               01     21,017

SENSIENT TECHNOLOGIES CORP COM       81725T100       414     18,000 SH              X   X       01                18,000

SERVICEMASTER CO COM                 81760N109       227     16,503 SH          X               01     10,879                 5,624

SERVICEMASTER CO COM                 81760N109        35      2,530 SH              X   X       01                 2,530

SIEBEL SYSTEMS INC COM               826170102       177      5,437 SH          X               01      5,437

SIEBEL SYSTEMS INC COM               826170102        30        931 SH              X   X       01                   931

SIGMA ALDRICH CORP COM               826552101       404      8,609 SH          X               01      6,209      2,400

SIGMA ALDRICH CORP COM               826552101        62      1,327 SH              X   X       01                 1,327

SIRIUS SATELLITE RADIO INC COM       82966U103        80     15,030 SH          X               01     15,030

SIRIUS SATELLITE RADIO INC COM       82966U103         1        100 SH              X   X       01                   100

SMITH (A.O.) CORP COM                831865209       149      5,842 SH          X               01      5,842

SMITH (A.O.) CORP COM                831865209       127      5,000 SH              X   X       01                 5,000

SNAP-ON INC COM                      833034101       108      3,182 SH          X               01      3,182

SNAP-ON INC COM                      833034101       300      8,825 SH              X   X       01      8,525        300

SOLECTRON CORP COM                   834182107        70      8,967 SH          X               01      4,967      4,000

SOLECTRON CORP COM                   834182107       148     19,025 SH              X   X       01                18,875        150

SOUTHERN CO COM                      842587107       926     34,966 SH          X               01     33,938      1,028

SOUTHERN CO COM                      842587107       509     19,199 SH              X   X       01      5,202      9,027      4,970

SOUTHTRUST CORP COM                  844730101       315     11,935 SH          X               01     11,935

SOUTHTRUST CORP COM                  844730101        40      1,523 SH              X   X       01                 1,523

SOUTHWEST AIRLS CO COM               844741108       259     13,385 SH          X               01     13,348         37

SOUTHWEST AIRLS CO COM               844741108         8        432 SH              X   X       01                   432

                                              ----------
         PAGE TOTAL                                7,483





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   33
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
SOUTHWEST BANCORP OF TEXAS COM       84476R109       360     10,808 SH          X               01     10,808

SOUTHWESTERN ENERGY CO COM           845467109       189     15,000 SH          X               01     15,000

SOVEREIGN BANCORP INC COM            845905108       456     32,457 SH          X               01     32,457

SPLUDE FAMILY LTD PARTNERSHIP        848458907     3,300  1,320,000 SH          X               01  1,320,000

SPORTSMANS GUIDE INC COM             848907200       427     98,059 SH          X               01     98,059

SPRINT CORP COM (FON GROUP)          852061100       857     56,076 SH          X               01     56,061         15

SPRINT CORP COM (FON GROUP)          852061100        89      5,794 SH              X   X       01                 5,794

SPRINT CORP (PCS GROUP) COM          852061506       497     48,338 SH          X               01     47,993        345

SPRINT CORP (PCS GROUP) COM          852061506        48      4,678 SH              X   X       01                 4,678

STAPLES INC COM                      855030102       109      5,463 SH          X               01      5,463

STAPLES INC COM                      855030102        91      4,569 SH              X   X       01                 4,569

STARBUCKS CORP COM                   855244109       266     11,513 SH          X               01     11,513

STARBUCKS CORP COM                   855244109         2        100 SH              X   X       01                   100

STATE STREET CORP COM                857477103       369      6,670 SH          X               01      6,220        250        200

STATE STREET CORP COM                857477103         3         62 SH              X   X       01                    62

STILWELL FINANCIAL INC COM           860831106       160      6,544 SH          X               01      6,544

STILWELL FINANCIAL INC COM           860831106        81      3,315 SH              X   X       01        600      2,715

STORA ENSO OYJ-ADR                   86210M106     3,142    244,115 SH          X               01    244,115

STORA ENSO OYJ-ADR                   86210M106        35      2,735 SH              X   X       01                 2,735

STRYKER CORP COM                     863667101       303      5,018 SH          X               01      4,997         21

STRYKER CORP COM                     863667101       696     11,544 SH              X   X       01                11,544

SUN LIFE FINANCIAL SVCS CAN COM      866796105       298     13,749 SH          X               01     13,749

SUN MICROSYSTEMS INC COM             866810104     4,203    476,480 SH          X               01    443,106     10,201     23,173

SUN MICROSYSTEMS INC COM             866810104       972    110,165 SH              X   X    06 01     17,128     91,637      1,400

SUNGARD DATA SYS INC COM             867363103       324      9,818 SH          X               01      9,818

                                              ----------
         PAGE TOTAL                               17,277





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   34
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
SUNOCO INC COM                       86764P109       210      5,250 SH          X               01      5,250

SUNOCO INC COM                       86764P109         6        162 SH              X   X       01                   162

SUNTRUST BKS INC COM                 867914103       553      8,288 SH          X               01      8,288

SUNTRUST BKS INC COM                 867914103        56        843 SH              X   X       01        800         43

SUPERVALU INC COM                    868536103       314     12,182 SH          X               01     12,182

SUPERVALU INC COM                    868536103        10        400 SH              X   X       01                   400

SYMS CORP                            871551107        63     11,000 SH              X   X       01                11,000

SYNOVUS FINL CORP COM                87161C105       214      7,008 SH          X               01      7,008

SYNOVUS FINL CORP COM                87161C105         7        217 SH              X   X       01                   217

SYSCO CORP COM                       871829107       964     32,314 SH          X               01     19,710         29     12,575

SYSCO CORP COM                       871829107       174      5,827 SH              X   X       01        760      5,067

TECO ENERGY INC COM                  872375100       545     19,034 SH          X               01     19,034

TECO ENERGY INC COM                  872375100        60      2,112 SH              X   X       01                 2,112

TEPPCO PARTNERS L P UNIT LTD         872384102       186      5,935 SH          X               01      5,935
PARTNERSHIP INT
TEPPCO PARTNERS L P UNIT LTD         872384102        47      1,500 SH              X   X       01      1,500
PARTNERSHIP INT
TJX COS INC NEW COM                  872540109     1,125     28,123 SH          X               01     28,123

TJX COS INC NEW COM                  872540109        24        602 SH              X   X       01        400        202

TRW INC COM                          872649108     1,021     19,838 SH          X               01     19,838

TXU CORPORATION COM                  873168108       911     16,716 SH          X               01     16,695         21

TXU CORPORATION COM                  873168108       161      2,961 SH              X   X       01      1,790      1,171

TAKE-TWO INTERACTIVE SOFTWARE COM    874054109       367     18,237 SH          X               01     18,237

TANDYCRAFTS INC COM                  875386104         1     20,172 SH          X               01     20,172

TARGET CORP COM                      87612E106     2,529     58,652 SH          X               01     58,013        639

TARGET CORP COM                      87612E106     2,310     53,581 SH              X   X       01     24,000     29,581

TECUMSEH PRODS CO COM CL A           878895200       293      5,506 SH              X   X       01                 5,506

                                              ----------
         PAGE TOTAL                               12,151





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   35
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
TEMPLE INLAND INC COM                879868107    11,297    199,165 SH          X               01    199,165

TEMPLE INLAND INC COM                879868107         2         31 SH              X   X       01                    31

TENET HEALTHCARE CORP COM            88033G100       643      9,600 SH          X               01      9,577         23

TENET HEALTHCARE CORP COM            88033G100        12        185 SH              X   X       01                   185

TERADYNE INC COM                     880770102     1,219     30,910 SH          X               01     30,910

TERADYNE INC COM                     880770102        17        443 SH              X   X       01                   443

TEXAS INSTRUMENTS INC COM            882508104     8,595    259,675 SH          X               01    248,406      4,725      6,544

TEXAS INSTRUMENTS INC COM            882508104     1,604     48,462 SH              X   X    06 01      7,450     41,012

TEXTRON INC COM                      883203101       378      7,395 SH          X               01      7,395

TEXTRON INC COM                      883203101       102      2,000 SH              X   X       01                 1,600        400

TOOTSIE ROLL INDS INC COM            890516107       100      2,170 SH          X               01      2,170

TOOTSIE ROLL INDS INC COM            890516107       356      7,744 SH              X   X       01                 7,744

TORCHMARK CORP COM                   891027104       567     14,084 SH          X               01     14,084

TORCHMARK CORP COM                   891027104         6        155 SH              X   X       01                   155

TRANSTEXAS GAS CORP COM              893895102         3     10,000 SH          X               01     10,000

TRANSWITCH CORP COM                  894065101       426    130,680 SH          X               01    130,680

TRICON GLOBAL RESTAURANTS COM        895953107       313      5,321 SH          X               01      5,321

TRICON GLOBAL RESTAURANTS COM        895953107        48        810 SH              X   X       01                   679        131

TRIBUNE CO NEW COM                   896047107       216      4,753 SH          X               01      4,753

TRIBUNE CO NEW COM                   896047107       359      7,890 SH              X   X       01                 7,890

TRIQUINT SEMICONDUCTOR INC COM       89674K103       630     52,488 SH          X               01     52,488

TUPPERWARE CORP COM                  899896104     1,377     60,527 SH          X               01     55,027      5,500

TUPPERWARE CORP COM                  899896104       752     33,073 SH              X   X       01                18,568     14,505

TYCO INTL LTD COM                    902124106     9,187    284,258 SH          X               01    269,298      3,372     11,588

TYCO INTL LTD COM                    902124106     1,865     57,701 SH              X   X       01      5,750     50,061      1,890

                                              ----------
         PAGE TOTAL                               40,074





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   36
                                                                   AS OF 03/31/02
- - - - - 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       214      5,500 SH          X               01      5,500

UST INC COM                          902911106       144      3,710 SH              X   X       01      3,200        510

US BANCORP DEL COM NEW               902973304     7,749    343,312 SH          X               01    325,637     10,085      7,590

US BANCORP DEL COM NEW               902973304     3,671    162,646 SH              X   X       01     23,174    139,472

USA EDUCATION INC COM                90390U102       301      3,073 SH          X               01      3,073

USA EDUCATION INC COM                90390U102         9         88 SH              X   X       01                    88

UNILEVER N V - W/I COM               904784709       557      9,808 SH          X               01      9,786         22

UNILEVER N V - W/I COM               904784709        63      1,101 SH              X   X       01        892        209

UNION PAC CORP COM                   907818108     1,466     23,590 SH          X               01     21,563      1,027      1,000

UNION PAC CORP COM                   907818108       549      8,840 SH              X   X       01        928      7,012        900

UNION PLANTERS CORP COM              908068109       214      4,513 SH          X               01      4,513

UNION PLANTERS CORP COM              908068109         7        144 SH              X   X       01                   144

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     1,018     16,749 SH          X               01     16,749

UNITED PARCEL SERVICES CL B          911312106        25        415 SH              X   X       01                   415

UNITED TECHNOLOGIES CORP COM         913017109     2,978     40,132 SH          X               01     38,952      1,000        180

UNITED TECHNOLOGIES CORP COM         913017109     1,778     23,967 SH              X   X       01      3,600     18,367      2,000

UNITEDHEALTH GROUP INC COM           91324P102       443      5,801 SH          X               01      5,783         18

UNITEDHEALTH GROUP INC COM           91324P102        10        127 SH              X   X       01                   127

UNIVERSAL HEALTH SVCS INC CL B       913903100       200      4,860 SH          X               01      4,860

UNIVISION COMMUNICATIONS CL A        914906102       196      4,665 SH          X               01      4,665

UNIVISION COMMUNICATIONS CL A        914906102         4        105 SH              X   X       01                   105

UNOCAL CORP COM                      915289102       279      7,171 SH          X               01      7,159         12

UNOCAL CORP COM                      915289102        19        500 SH              X   X       01                   500

                                              ----------
         PAGE TOTAL                               21,894





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   37
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
UNUMPROVIDENT CORP COM               91529Y106       324     11,595 SH          X               01     11,230        365

UNUMPROVIDENT CORP COM               91529Y106         4        134 SH              X   X       01                   134

VF CORP COM                          918204108     1,055     24,398 SH          X               01     24,398

VF CORP COM                          918204108       118      2,726 SH              X   X       01                 2,676         50

VALUEVISION INTL INC CL A            92047K107       376     18,130 SH          X               01     18,130

VERIZON COMMUNICATIONS COM           92343V104    16,975    368,228 SH          X               01    363,534      2,396      2,298

VERIZON COMMUNICATIONS COM           92343V104     4,185     90,781 SH              X   X    06 01     11,776     76,168      2,837

VERITAS SOFTWARE CO COM              923436109        83      1,904 SH          X               01      1,904

VERITAS SOFTWARE CO COM              923436109       204      4,663 SH              X   X       01                 3,963        700

VIACOM INC CL B                      925524308     1,659     34,306 SH          X               01     33,370        275        661

VIACOM INC CL B                      925524308       187      3,869 SH              X   X       01                 3,869

VIASYSTEMS GROUP INC COM             92553H100        46    154,500 SH          X               01    154,500

VIGNETTE CORPORATION COM             926734104       701    203,640 SH          X               01    203,640

VIVENDI UNIVERSAL-SP ADR             92851S204       440     11,424 SH          X               01     11,344         80

VIVENDI UNIVERSAL-SP ADR             92851S204       259      6,740 SH              X   X    06 01                 6,740

VODAFONE GROUP PLC-SP ADR            92857W100     1,094     59,339 SH          X               01     59,189        150

VODAFONE GROUP PLC-SP ADR            92857W100       180      9,740 SH              X   X       01                 9,740

WPS RES CORP COM                     92931B106     1,747     44,298 SH          X               01     43,304        300        694

WPS RES CORP COM                     92931B106       432     10,955 SH              X   X       01      3,300      7,255        400

WACHOVIA CORP COM                    929903102     1,504     40,566 SH          X               01     40,261        305

WACHOVIA CORP COM                    929903102       138      3,713 SH              X   X       01                 3,538        175

WAL MART STORES INC COM              931142103    17,739    289,387 SH          X               01    257,385     16,313     15,689

WAL MART STORES INC COM              931142103     4,810     78,459 SH              X   X    06 01     14,277     61,982      2,200

WALGREEN CO COM                      931422109    13,137    335,221 SH          X               01    311,822      2,946     20,453

WALGREEN CO COM                      931422109     6,662    169,995 SH              X   X    06 01     49,289    120,706

                                              ----------
         PAGE TOTAL                               74,059





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   38
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
WASHINGTON MUT INC COM               939322103     1,436     43,335 SH          X               01     43,302         33

WASHINGTON MUT INC COM               939322103        22        662 SH              X   X       01                   350        312

WASTE MANAGEMENT INC COM             94106L109       173      6,346 SH          X               01      6,318         28

WASTE MANAGEMENT INC COM             94106L109        29      1,071 SH              X   X       01                 1,071

WAUSAU-MOSINEE PAPER CORP COM        943315101     2,940    230,399 SH          X               01    230,399

WAUSAU-MOSINEE PAPER CORP COM        943315101     4,753    372,490 SH              X   X       01    335,793     33,235      3,462

WEINGARTEN RLTY INVS SH BEN INT      948741103       439      8,548 SH          X               01      8,548

WELLS FARGO CO COM                   949746101    13,300    269,228 SH          X               01    250,521        144     18,563

WELLS FARGO CO COM                   949746101     1,396     28,263 SH              X   X       01      3,117     24,146      1,000

WEYERHAEUSER CO COM                  962166104       554      8,816 SH          X               01      7,754      1,062

WEYERHAEUSER CO COM                  962166104       579      9,208 SH              X   X       01      8,446        762

WHIRLPOOL CORP COM                   963320106       449      5,938 SH          X               01      1,933          5      4,000

WHIRLPOOL CORP COM                   963320106       710      9,394 SH              X   X       01                 9,394

WHITEGOLD NATURAL RES CORP COM       964859102         7     58,000 SH          X               01     58,000

WHITEHALL JEWELLERS INC COM          965063100       377     20,000 SH          X               01     20,000

WISCONSIN ENERGY CORP COM            976657106     3,342    134,318 SH          X               01    129,892      4,426

WISCONSIN ENERGY CORP COM            976657106     1,467     58,973 SH              X   X       01      5,078     46,663      7,232

WORLDCOM INC-WORLDCOM GROUP COM      98157D106       176     26,127 SH          X               01     25,707        420

WORLDCOM INC-WORLDCOM GROUP COM      98157D106        52      7,743 SH              X   X       01        487      6,256      1,000

WRIGLEY WM JR CO COM                 982526105       397      7,447 SH          X               01      7,047        400

WRIGLEY WM JR CO COM                 982526105       457      8,570 SH              X   X       01      2,400      6,170

WYETH COM                            983024100    20,617    314,043 SH          X               01    306,333      1,600      6,110

WYETH COM                            983024100     7,437    113,281 SH              X   X       01      6,575    106,706

XTO ENERGY INC COM                   98385X106         7        326 SH          X               01        326

XTO ENERGY INC COM                   98385X106       508     25,312 SH              X   X       01                25,312

                                              ----------
         PAGE TOTAL                               61,624





REPORT PTR289  98 MARSHALL & ILSLEY TRUST CO N.A.   SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE   39
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
XCEL ENERGY INC COM                  98389B100     1,338     52,776 SH          X               01     45,776      4,036      2,964

XCEL ENERGY INC COM                  98389B100       482     18,998 SH              X   X       01      2,944     16,054

XEROX CORP COM                       984121103       388     36,073 SH          X               01     35,473        600

XEROX CORP COM                       984121103        19      1,800 SH              X   X       01                 1,800

1/2 INT IN 100% OF JRD INVESTMENTS   986001M10       131          1 SH          X               01          1
INC S CORP
1/2 INT IN 100% OF JRD INVESTMENTS   986001M10       131          1 SH              X   X       01                     1
INC S CORP
ZIEGLER COMPANIES INC                989506100        42      3,000 SH          X               01      3,000

ZIEGLER COMPANIES INC                989506100     2,546    181,830 SH              X   X       01               119,054     62,776

ZIMMER HOLDINGS INC W/I COM          98956P102       592     17,372 SH          X               01     17,052        160        160

ZIMMER HOLDINGS INC W/I COM          98956P102       268      7,883 SH              X   X       01         30      7,648        205

50% INT IN B & J REAL ESTATE A WI    9940659T9       310          2 SH              X   X       01                     2
GENERAL PTNSHP OWNING PROPERTY AT
ACCELERATED HIGH YIELD INSTITUTIONAL 9960059T3        65     65,000 SH          X               01     65,000
INVESTORS LTD
                                              ----------
         PAGE TOTAL                                6,312
                                              ----------
        FINAL TOTALS                           2,139,640
                                              ==========





REPORT PTR289  9W    M&I INVESTMENT MANAGEMENT CORP SECURITIES AND EXCHANGE COMMISSION FORM 13-F        04/05/02           PAGE    1
                                                                   AS OF 03/31/02
- - - - - 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)
                                                                                     
ABBOTT LABORATORIES COM              002824100       326      6,200 SH          X               05      6,200

AMERICAN EXPRESS CO COM              025816109       250      6,100 SH          X               05      6,100

AMERICAN INTL GROUP INC COM          026874107       200      2,775 SH          X               05      2,775

APPLIED MATERIALS INC COM            038222105       255      4,700 SH          X               05      4,700

BOEING CO COM                        097023105       217      4,500 SH          X               05      4,500

CARDINAL HEALTH INC COM              14149Y108       213      3,000 SH          X               05      3,000

CHEVRON TEXACO CORP COM              166764100       264      2,920 SH          X               05      2,920

CITIGROUP INC COM                    172967101       272      5,500 SH          X               05      5,500

ELECTRONIC DATA SYS CORP NEW COM     285661104       209      3,600 SH          X               05      3,600

EXXON MOBIL CORP COM                 30231G102       237      5,400 SH          X               05      5,400

FEDERAL HOME LN MTG CORP COM         313400301       304      4,800 SH          X               05      4,800

GENERAL ELEC CO COM                  369604103       536     14,300 SH          X               05     14,300

HCA INC COM                          404119109       300      6,800 SH          X               05      6,800

HOME DEPOT INC COM                   437076102       218      4,475 SH          X               05      4,475

JOHNSON & JOHNSON COM                478160104       305      4,700 SH          X               05      4,700

JOURNAL COMMUNICATIONS INC COM       481132108       209      5,480 SH          X               05      5,480

KOHLS CORP COM                       500255104       398      5,600 SH          X               05      5,600

LUCENT TECHNOLOGIES INC COM          549463107        66     14,000 SH          X               05     14,000

MERCK & CO INC COM                   589331107       248      4,300 SH          X               05      4,300

MICROSOFT CORP COM                   594918104       434      7,200 SH          X               05      7,200

NATIONAL SEMICONDUCTOR CORP COM      637640103       256      7,600 SH          X               05      7,600

PFIZER INC COM                       717081103       290      7,300 SH          X               05      7,300

PHILIP MORRIS COMPANIES INC COM      718154107       434      8,240 SH          X               05      8,240

ROYAL DUTCH PETE CO N Y REGISTRY SH  780257804       274      5,050 SH          X               05      5,050
PAR N GLDR 1.25
SCHERING PLOUGH CORP COM             806605101       269      8,600 SH          X               05      8,600

                                              ----------
         PAGE TOTAL                                6,984
                                              ----------
        FINAL TOTALS                               6,984
                                              ==========