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

                                     Form 13F
                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:       June 29, 2007
Check here if Amendment [   ];  Amendment Number:
This Amendment (Check only one.):       [   ] is a restatement.
                                        [   ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:                    Cohen & Steers Capital Management Inc.
Address:                 280 Park Avenue
                         10th Floor
                         New York, NY 10017

Form 13F File Number:    28-2405

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:               Lisa Phelan
Title:              Vice President and Chief Compliance Officer
Phone:              (212) 832-3232


Signature, Place, and Dating of Signing:



/s/ Robert Steers              New York, NY             August 10, 2007
-----------------              ---------------          ------------------

Report Type (Check only one.):

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

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

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


List of Other Managers Reporting for this Manager:
[If there are no entries in this list, omit this section.]

        Form 13F File Number            Name

        028-01190                       FRANK RUSSELL COMPANY



                     Form 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:                            1

Form 13F Information Table Entry Total:                     358

Form 13F Information Table Value Total:               19,668,599 (thousands)

List of Other Included Managers:

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

     No.      Form 13F File Number      Name

     01                                 Cohen & Steers Europe SA




                           FORM 13F INFORMATION TABLE



        ITEM 1:                 ITEM 2:   ITEM 3:    ITEM 4:       ITEM 5:        ITEM 6:  ITEM 7:           ITEM 8:
--------------------------      -------   --------   -------    ---------------   -------  --------  --------------------------
                                 TITLE
                                  OF                  VALUE     SHARES/   SH/ PUT/ INVSTMT  OTHER         VOTING AUTHORITY
NAME OF ISSUER                   CLASS    CUSIP      (X$1000)   PRN AMT   PRN CALL DSCRETN  MANAGERS  SOLE    SHARED    NONE
--------------------------      -------  --------    -------   --------- -------- -------  --------   ------  -------  -------
                                                                                           

3M Co Common                     COM     88579Y101           2,534       29,200 SH      Sole          29,200              -
Abbott Laboratories Common       COM     002824100          15,856      296,100 SH      Sole         296,100              -
ACE Ltd Common                   COM     G0070K103          12,323      197,100 SH      Sole         197,100              -
Advent Claymore Conv Sec & Inc   COM     00764C109          17,276      625,279 SH      Sole         625,279              -
Advent/Claymore Enh Gr & Inc CEF COM     00765E104           4,337      225,749 SH      Sole         225,749              -
AES Corp Common                  COM     00130H105           2,050       93,700 SH      Sole          93,700              -
Aflac Inc                        COM     001055102          20,904      406,700 SH      Sole         406,700              -
AGL Resources Inc                COM     001204106          13,014      321,500 SH      Sole         321,500              -
Alcoa Inc Common                 COM     013817101           3,725       91,900 SH      Sole          91,900              -
Alexandria Real Estate Equitie   COM     015271109         140,600    1,452,176 SH      Sole       1,312,839        139,337
Allegheny Energy, Inc.           COM     017361106           3,156       61,000 SH      Sole          61,000              -
Alliant Energy Corp Common       COM     018802108             311        8,000 SH      Sole           8,000              -
Allstate Corp/The Common         COM     020002101          14,049      228,400 SH      Sole         228,400              -
Alpine Global Dynamic Div CEF    COM     02082E106           6,116      252,203 SH      Sole         252,203              -
Alpine Total Dynamic Div Fund    COM     021060108           9,272      447,075 SH      Sole         447,075              -
Altria Group Inc Common          COM     02209S103          12,471      177,800 SH      Sole         177,800              -
AMB Property Corp Common         COM     00163T109          88,608    1,664,933 SH      Sole       1,493,233        171,700
Ameren Corp Common               COM     023608102          91,119    1,859,200 SH      Sole       1,859,200              -
America Movil SAB de CV ADR      COM     02364W105          10,522      169,900 SH      Sole         169,900              -
American Campus Communities In   COM     024835100          64,986    2,297,132 SH      Sole       2,235,632         61,500
American Electric Power Co Inc   COM     025537101          12,881      286,000 SH      Sole         286,000              -
American International Group I   COM     026874107          13,957      199,300 SH      Sole         199,300              -
Annaly Capital Management Common COM     035710409          35,447    2,458,200 SH      Sole       2,458,200              -
Apartment Invt & Mgmt            COM     03748R101         422,958    8,388,682 SH      Sole       7,766,671        622,011
Archer Daniels Midland Common    COM     039483102           8,789      265,600 SH      Sole         265,600              -
Archstone-Smith Trust Common     COM     039583109         126,969    2,148,013 SH      Sole       2,025,105        122,908
AT&T Common                      COM     00206R102          48,598    1,171,027 SH      Sole       1,171,027              -
Atmos Energy Corp Common         COM     049560105           6,328      210,500 SH      Sole         210,500              -
AvalonBay Communities Inc Common COM     053484101         500,283    4,208,299 SH      Sole       3,818,076        390,223
Baker Hughes Inc Common          COM     057224107           8,893      105,700 SH      Sole         105,700              -
Bank of America Corp Common      COM     060505104          25,750      526,700 SH      Sole         526,700              -
Becton Dickinson & Co Common COM     075887109             246        3,300 SH      Sole           3,300              -
Bemis Co Common                  COM     081437105           2,256       68,000 SH      Sole          68,000              -
BioMed Realty Trust Inc Common   COM     09063H107         238,814    9,506,914 SH      Sole       8,606,914        900,000
Blackrock Corp HY Fund VI CEF    COM     09255P107           4,406      327,100 SH      Sole         327,100              -
Blackrock Corporate High Y CEF   COM     09255L106           2,524      305,600 SH      Sole         305,600              -
Blackrock Corporate High Yield   COM     09255N102           1,551      114,600 SH      Sole         114,600              -
Blackrock Dividend Achievers CEF COM     09250N107           2,871      195,278 SH      Sole         195,278              -
Blackrock Global Enrg & Res CEF  COM     09250U101           9,786      319,700 SH      Sole         319,700              -
Blackrock Global Eq Inc Tr CEF   COM     09255D104             490       25,085 SH      Sole          25,085              -
Blackrock Health Sciences Trus   COM     09250W107           4,888      183,900 SH      Sole         183,900              -
Blackrock Inc. Common Stock      COM     09247X101          10,405       66,450 SH      Sole          66,450              -
Blackrock Ltd Duration Inc Tru   COM     09249W101             361       18,954 SH      Sole          18,954              -
Blackrock Pfd & Eq Adv Tr CEF    COM     092508100           8,764      397,118 SH      Sole         397,118              -
Blackrock Real Asset Equity CEF  COM     09254B109           5,266      327,100 SH      Sole         327,100              -
Blackrock Strat Dvd Achv Trs CEF COM     09249Y107           3,731      256,400 SH      Sole         256,400              -
Boeing Co Common                 COM     097023105           5,356       55,700 SH      Sole          55,700              -
Boston Properties Inc Common     COM     101121101         606,576    5,939,250 SH      Sole       5,284,891        654,359
Brandywine Realty Trust Common   COM     105368203         209,731    7,338,382 SH      Sole       7,253,799         84,583
BRE Properties Inc Common        COM     05564E106         283,691    4,784,803 SH      Sole       4,132,503        652,300
Brookfield Properties Co Common  COM     112900105         290,815   11,962,775 SH      Sole      10,415,887      1,546,888
C&S REIT and Utility Income Fu   COM     19247Y108             132        6,201 SH      Sole           6,201              -
C&S Select Utility Fund CEF      COM     19248A109             152        5,786 SH      Sole           5,786              -
Calamos Convertible & Income F   COM     12811P108             488       30,000 SH      Sole          30,000              -
Calamos Global Total Return CEF  COM     128118106           1,170       65,000 SH      Sole          65,000              -
Calamos Strat Tot Return Fd CEF  COM     128125101          19,704    1,302,300 SH      Sole       1,302,300              -
Camden Property Trust Common     COM     133131102         219,433    3,276,593 SH      Sole       3,038,393        238,200
Canadian Pacific Railway Ltd     COM     13645T100              17          250 SH      Sole             250              -
Capital And Inc Strat Fd Inc     COM     09256A109           4,222      191,200 SH      Sole         191,200              -
Carnival Corp Common             COM     143658300           3,431       70,350 SH      Sole          70,350              -
CBL & Associates Properties      COM     124830100          43,081    1,195,020 SH      Sole       1,155,420         39,600
Cedar Shopping Centers Inc       COM     150602209          92,429    6,441,000 SH      Sole       6,351,200         89,800
Chevron Corp Common              COM     166764100          12,914      153,300 SH      Sole         153,300              -
China Mobile Ltd ADR             COM     16941M109           3,458       64,150 SH      Sole          64,150              -
Citigroup Inc Common             COM     172967101          18,746      365,500 SH      Sole         365,500              -
Citizens Communications Co       COM     17453B101          28,327    1,855,100 SH      Sole       1,855,100              -
Cleco Corp Common                COM     12561W105          12,769      521,200 SH      Sole         521,200              -
Clough Global Allocation Fd CEF  COM     18913Y103           2,099       99,600 SH      Sole          99,600              -
Clough Global Equity Fund CEF    COM     18914C100           3,534      171,900 SH      Sole         171,900              -
Clough Global Opportunities Fu   COM     18914E106          11,962      669,000 SH      Sole         669,000              -
CMS Energy Corp Common           COM     125896100           1,988      115,600 SH      Sole         115,600              -
CNOOC Ltd ADR                    COM     126132109              40          350 SH      Sole             350              -
Coca-Cola Co/The Common          COM     191216100           2,275       43,500 SH      Sole          43,500              -
Colonial Properties Trust Common COM     195872106         144,235    3,957,070 SH      Sole       3,899,870         57,200
Comerica Common                  COM     200340107           6,375      107,200 SH      Sole         107,200              -
Comverge Common                  COM     205859101             493       15,900 SH      Sole          15,900              -
ConocoPhillips Common            COM     20825C104          10,621      135,300 SH      Sole         135,300              -
Consolidated Edison Inc Common   COM     209115104          99,566    2,206,700 SH      Sole       2,206,700              -




      ITEM 1:                   ITEM 2:     ITEM 3:   ITEM 4:       ITEM 5:      ITEM 6:   ITEM 7:           ITEM 8:
---------------------------    -------    ---------  -------  ----------------- -------   --------  --------------------------
                                TITLE
                                 OF                  VALUE    SHARES/  SH/ PUT/ INVSTMT  OTHER           VOTING AUTHORITY
  NAME OF ISSUER                CLASS     CUSIP     (X1000)  PRN AMT   PRN CALL DSCRETN  MANAGERS    SOLE    SHARED     NONE
---------------------------    -------   --------   -------  -------- --- ---- -------   --------    ----    ------    ------

Constellation Energy Group Inc   COM     210371100          25,018      287,000 SH       Sole        287,000              -
Corporate Office Properties Tr   COM     22002T108           3,798       92,600 SH       Sole         92,600              -
Costco Wholesale Corp Common     COM     22160K105           7,157      122,300 SH       Sole        122,300              -
Countrywide Financial Corp       COM     222372104           3,459       95,150 SH       Sole         95,150              -
DCP Midstream Partners LP Common COM     23311P100          17,604      377,600 SH       Sole        377,600              -
DCT Industrial Trust Common      COM     233153105         100,147    9,307,314 SH       Sole      9,180,114        127,200
Developers Diversified Realty    COM     251591103         232,808    4,416,775 SH       Sole      3,942,894        473,881
Devon Energy Corp Common         COM     25179M103          12,245      156,400 SH       Sole        156,400              -
Diageo PLC ADR                   COM     25243Q205          10,097      121,200 SH       Sole        121,200              -
DiamondRock Hospitality Co       COM     252784301          85,963    4,505,400 SH       Sole      4,448,300         57,100
Digital Realty Trust Inc Common  COM     253868103           5,550      147,300 SH       Sole        147,300              -
Dividend Cap Real Inc Alloc      COM     25537T105           5,718      395,712 SH       Sole        395,712              -
Dominion Resources Inc/VA Common COM     25746U109          62,765      727,200 SH       Sole        727,200              -
Douglas Emmett Common            COM     25960P109          44,915    1,815,463 SH       Sole      1,607,863        207,600
Dow 30 Enhanced Preimium & Ino   COM     260537105              61        3,200 SH       Sole          3,200              -
Dow 30 Prem & Div Inc Fund       COM     260582101             483       23,000 SH       Sole         23,000              -
Dow Chemical Co/The Common       COM     260543103           7,929      179,300 SH       Sole        179,300              -
DPL Inc Common                   COM     233293109          10,188      359,500 SH       Sole        359,500              -
DREMAN/CLAYMORE CEF              COM     26153R100           4,530      210,900 SH       Sole        210,900              -
DTE Energy Co Common             COM     233331107          95,799    1,986,700 SH       Sole      1,986,700              -
Duke Energy Corp Common          COM     26441C105         157,693    8,617,120 SH       Sole      8,617,120              -
Duke Realty Corp Common          COM     264411505           1,261       35,345 SH       Sole         35,345              -
Duncan Energy Partners Common    COM     265026104           3,882      147,900 SH       Sole        147,900              -
DWS Glbl Commodities Stk         COM     23338Y100           5,192      279,001 SH       Sole        279,001              -
DWS RREEF Real Estate            COM     233384106           5,345      225,547 SH       Sole        225,547              -
DWS RREEF Real Estate II         COM     23338X102           8,161      450,900 SH       Sole        450,900              -
Dynegy Inc Class A Common        COM     26817G102             562       59,500 SH       Sole         59,500              -
E.ON AG ADR                      COM     268780103          86,661    1,557,538 SH       Sole      1,557,538              -
EastGroup Properties Inc Common  COM     277276101         129,450    2,954,131 SH       Sole      2,707,790        246,341
Eastman Chemical Company Common  COM     277432100           2,252       35,000 SH       Sole         35,000              -
Eaton Vance Enh Eqt Inc II       COM     278277108          17,058      830,884 SH       Sole        830,884              -
Eaton Vance Enhanced Eq Incm     COM     278274105           4,294      209,283 SH       Sole        209,283              -
Eaton Vance Ltd Duration Inc F   COM     27828H105              21        1,157 SH       Sole          1,157              -
Eaton Vance T/M Buy-Write Inco   COM     27828X100           4,831      236,790 SH       Sole        236,790              -
Eaton Vance T/M Buy-Write Opp    COM     27828Y108          11,704      598,962 SH       Sole        598,962              -
Eaton Vance TA Gl Div & Inc      COM     27828S101          11,819      427,000 SH       Sole        427,000              -
Eaton Vance TA GL Div Opp        COM     27828U106           2,363       69,500 SH       Sole         69,500              -
Eaton Vance Tax Man Glbl Br      COM     27829C105          18,632      959,900 SH       Sole        959,900              -
Eaton Vance Tax Man Glbl         COM     27829F108           7,712      395,462 SH       Sole        395,462              -
Eaton Vance Tax-Adv Dvd Inc      COM     27828G107          12,576      426,900 SH       Sole        426,900              -
Eaton Vance Tax-Mgd Dvsfied Eq   COM     27828N102          17,938      918,017 SH       Sole        918,017              -
Edison International Common      COM     281020107          56,908    1,014,040 SH       Sole      1,014,040              -
Education Realty Trust Inc       COM     28140H104          58,382    4,161,200 SH       Sole      4,060,300        100,900
EI Du Pont de Nemours & Co   COM     263534109           4,474       88,000 SH       Sole         88,000              -
Eli Lilly and Co Common          COM     532457108           4,705       84,200 SH       Sole         84,200              -
Enel SpA -Spon ADR Common        COM     29265W108          11,648      216,900 SH       Sole        216,900              -
Energy Income And Growth Fd      COM     292697109           3,323      119,100 SH       Sole        119,100              -
EnergySouth Common               COM     292970100             510       10,000 SH       Sole         10,000              -
Enernoc Inc Common               COM     292764107             763       20,000 SH       Sole         20,000              -
Entergy Corp Common              COM     29364G103         145,610    1,356,404 SH       Sole      1,356,404              -
Enterprise Products Ptnrs Common COM     293792107          15,100      474,700 SH       Sole        474,700              -
Entertainment Properties Trust   COM     29380T105          66,413    1,234,900 SH       Sole      1,208,600         26,300
Equitable Resources Inc Common   COM     294549100          72,517    1,463,220 SH       Sole      1,463,220              -
Equity Inns Inc Common           COM     294703103          22,315      996,200 SH       Sole        910,400         85,800
Equity Lifestyle Properties      COM     29472R108          68,206    1,306,886 SH       Sole      1,167,886        139,000
Equity One Inc Common            COM     294752100         109,104    4,270,253 SH       Sole      3,970,195        300,058
Equity Residential Common        COM     29476L107         617,534   13,533,508 SH       Sole     12,144,093      1,389,415
Essex Property Trust Inc Common  COM     297178105         101,540      873,095 SH       Sole        783,564         89,531
Evergreen Global Div Opptnty     COM     30024H101           8,216      405,739 SH       Sole        405,739              -
Evergreen Util & High Income     COM     30034Q109           1,268       46,726 SH       Sole         46,726              -
Exelon Corp Common               COM     30161N101         179,815    2,476,797 SH       Sole      2,476,797              -
Extra Space Storage Inc Common   COM     30225T102         126,000    7,636,358 SH       Sole      6,879,158        757,200
Exxon Mobil Corp Common          COM     30231G102          12,402      147,850 SH       Sole        147,850              -
Fairpoint Communications Inc     COM     305560104          34,453    1,941,000 SH       Sole      1,941,000              -
Federal Realty Invs Trust Common COM     313747206         259,342    3,356,744 SH       Sole      2,914,713        442,031
Fiduciary/Claymore Mlp Oppor     COM     31647Q106           3,768      154,700 SH       Sole        154,700              -
Fifth Third Bancorp Common       COM     316773100           5,938      149,300 SH       Sole        149,300              -
First Industrial Realty Trust    COM     32054K103          49,772    1,284,100 SH       Sole      1,284,100              -
First Potomac Realty Trust       COM     33610F109          45,724    1,963,250 SH       Sole      1,884,513         78,737
FirstEnergy Corp Common          COM     337932107         101,966    1,575,255 SH       Sole      1,575,255              -
Forest City Enterprises Inc      COM     345550107          20,795      338,240 SH       Sole        243,540         94,700
Fortress Investment Group        COM     34958B106           6,867      288,300 SH       Sole        288,300              -
FPL Group Inc Common             COM     302571104         110,418    1,946,036 SH       Sole      1,946,036              -
Freddie Mac Common               COM     313400301           8,868      146,100 SH       Sole        146,100              -
Gabelli Dividend & Income Tr     COM     36242H104          12,126      542,808 SH       Sole        542,808              -
Gabelli Global Deal Fund         COM     36245G103             457       24,700 SH       Sole         24,700              -
General Dynamics Corp Common     COM     369550108          14,205      181,600 SH       Sole        181,600              -
General Electric Co Common       COM     369604103          14,902      389,300 SH       Sole        389,300              -
General Growth Properties Inc    COM     370021107         241,311    4,557,322 SH       Sole      3,465,073      1,092,249
General Mills Inc Common         COM     370334104           2,284       39,100 SH       Sole         39,100              -
Glimcher Realty Trust Common     COM     379302102         146,731    5,869,234 SH       Sole      5,712,934        156,300
GlobalSantaFe Corp Common        COM     G3930E101          10,664      147,600 SH       Sole        147,600              -




      ITEM 1:                   ITEM 2:    ITEM 3:   ITEM 4:       ITEM 5:      ITEM 6:   ITEM 7:           ITEM 8:
---------------------------    -------    ---------  -------  ----------------- -------   --------  --------------------------
                                TITLE
                                  OF                  VALUE    SHARES/  SH/ PUT/ INVSTMT  OTHER          VOTING AUTHORITY
  NAME OF ISSUER                CLASS      CUSIP     (X1000)  PRN AMT   PRN CALL DSCRETN  MANAGERS    SOLE   SHARED     NONE
---------------------------    -------   ---------   -------  -------- --- ---- -------   --------   ------  -------   ------

GMH Communities Trust Common     COM     36188G102          20,672    2,133,300 SH       Sole      2,133,300              -
Gramercy Capital Corp/New York   COM     384871109          60,533    2,198,000 SH      Sole       2,198,000              -
H & Q Life Sciences Invstrs CEF  COM     404053100           1,896      140,000 SH      Sole         140,000              -
HCC Insurance Holdings Inc       COM     404132102          14,129      422,900 SH      Sole         422,900              -
Health Care Property Investors   COM     421915109         250,484    8,658,306 SH      Sole       8,590,406         67,900
Health Care REIT Inc Common      COM     42217K106         191,782    4,751,786 SH      Sole       4,685,157         66,629
Healthcare Realty Trust Inc      COM     421946104           1,945       70,000 SH      Sole          70,000              -
Hewlett-Packard Co Common        COM     428236103              31          700 SH      Sole             700              -
Highland Distressed Opprtnties   COM     430067108           2,280      160,000 SH      Sole         160,000              -
Highwoods Properties Inc Common  COM     431284108         130,476    3,479,356 SH      Sole       3,445,456         33,900
Hilton Hotels Corp Common        COM     432848109         215,492    6,438,361 SH      Sole       5,610,061        828,300
HJ Heinz Co Common               COM     423074103           4,576       96,400 SH      Sole          96,400              -
Home Properties Inc Common       COM     437306103         253,818    4,887,700 SH      Sole       4,758,835        128,865
Hospitality Properties Trust     COM     44106M102         153,793    3,706,764 SH      Sole       3,664,864         41,900
Host Hotels & Resorts Common     COM     44107P104         363,893   15,739,310 SH      Sole      14,363,811      1,375,499
HRPT Properties Trust Common     COM     40426W101          74,931    7,204,900 SH      Sole       7,120,100         84,800
HSBC Holdings PLC ADR            COM     404280406          10,159      110,700 SH      Sole         110,700              -
ING Clarion Global Real Estate   COM     44982G104          16,164      834,913 SH      Sole         834,913              -
ING Clarion Real Estate Income   COM     449788108           4,056      252,700 SH      Sole         252,700              -
ING Global Advntge & Premium     COM     44982N109           7,767      346,600 SH      Sole         346,600              -
ING Global Eqty Div & Premium    COM     45684E107           3,553      170,551 SH      Sole         170,551              -
ING Risk Managed Natural Res     COM     449810100           6,651      346,200 SH      Sole         346,200              -
Inland Real Estate Corp Common   COM     457461200         109,870    6,470,600 SH      Sole       6,251,500        219,100
Integrys Energy Group Inc Common COM     45822P105          10,131      199,700 SH      Sole         199,700              -
Intel Corp Common                COM     458140100           3,507      147,600 SH      Sole         147,600              -
International Business Machine   COM     459200101           3,600       34,200 SH      Sole          34,200              -
iStar Financial Inc Common       COM     45031U101         149,627    3,375,300 SH      Sole       3,332,500         42,800
ITC Holdings Corp Common         COM     465685105          21,063      518,400 SH      Sole         518,400              -
JC Penney Co Inc Common          COM     708160106           8,838      122,100 SH      Sole         122,100              -
JM Smucker Company Common        COM     832696405             242        3,800 SH      Sole           3,800              -
John Han Bk & Thrift Opp Fd CEF  COM     409735107          10,193    1,123,760 SH      Sole       1,123,760              -
John Hancock T/A Dvd Income CEF  COM     41013V100          14,316      733,400 SH      Sole         733,400              -
Johnson & Johnson Common         COM     478160104          14,419      234,000 SH      Sole         234,000              -
Johnson Controls Common          COM     478366107           7,004       60,500 SH      Sole          60,500              -
JPMorgan Chase & Co Common   COM     46625H100          10,557      217,900 SH      Sole         217,900              -
Kayne Anderson Energy Tot Rt CEF COM     48660P104           7,797      269,332 SH      Sole         269,332              -
Kayne Anderson Mlp Investmen CEF COM     486606106           6,828      205,600 SH      Sole         205,600              -
Keycorp Common                   COM     493267108           3,701      107,800 SH      Sole         107,800              -
Kilroy Realty Corp Common        COM     49427F108         191,432    2,702,304 SH      Sole       2,402,592        299,712
Kimberly-Clark Corp Common       COM     494368103           4,388       65,600 SH      Sole          65,600              -
Kimco Realty Corp Common         COM     49446R109          32,958      865,731 SH      Sole         784,531         81,200
Kinder Morgan Energy Partners    COM     494550106          15,375      278,592 SH      Sole         278,592              -
Kraft Foods Inc Common           COM     50075N104           7,136      202,453 SH      Sole         202,453              -
LaSalle Hotel Properties Common  COM     517942108          13,595      313,100 SH      Sole         193,000        120,100
Leggett & Platt Common           COM     524660107           3,943      178,800 SH      Sole         178,800              -
Liberty All Star Equity Fund CEF COM     530158104           3,881      432,186 SH      Sole         432,186              -
Liberty Property Trust Common    COM     531172104         558,449   12,712,251 SH      Sole      12,181,566        530,685
LMP Cap & Inc CEF CEF            COM     50208A102          10,972      536,259 SH      Sole         536,259              -
Lockheed Martin Corp Common      COM     539830109          12,256      130,200 SH      Sole         130,200              -
Macerich Co/The Common           COM     554382101         544,618    6,607,837 SH      Sole       5,789,633        818,204
Mack-Cali Realty Corp Common     COM     554489104         393,035    9,037,351 SH      Sole       8,718,346        319,005
Macquarie Global Infr Tot Rt CEF COM     55608D101           1,896       59,000 SH      Sole          59,000              -
Macquarie/Ft Gl Int/Ut Dv In CEF COM     55607W100           1,690       60,500 SH      Sole          60,500              -
Madison/Claymore Covered Cal CEF COM     556582104           2,408      163,489 SH      Sole         163,489              -
Magellan Midstream Holdings      COM     55907R108           1,194       39,800 SH      Sole          39,800              -
Magellan Midstream Partners      COM     559080106           6,153      132,100 SH      Sole         132,100              -
Maguire Properties Inc Common    COM     559775101         232,972    6,786,234 SH      Sole       6,285,634        500,600
Masco Corp Common                COM     574599106            3283       115300 SH      Sole          115300              0
Medtronic Common                 COM     585055106          14,293       275600 SH      Sole          275600              0
Merck and Co Inc Common          COM     589331107            7306       146700 SH      Sole          146700              0
Microchip Technology Inc Common  COM     595017104            6915       186700 SH      Sole          186700              0
Microsoft Common                 COM     594918104           10485       355800 SH      Sole          355800              0
Mid-America Apartment Comm       COM     59522J103          139732      2662582 SH      Sole         2549682         112900
Mirant Corp Common               COM     60467R100            4606       108000 SH      Sole          108000              0
Mission West Properties Common   COM     605203108           37827      2713600 SH      Sole         2647000          66600
Monsanto Co Common               COM     61166W101            9044       133900 SH      Sole          133900              0
Morgan Stanley Common            COM     617446448            6895        82200 SH      Sole           82200              0
Morgan Stanley Emerging Mkts CEF COM     61744G107             811        29800 SH      Sole           29800              0
Nasdaq Premium Income & Growth   COM     63110R105            6071       315354 SH      Sole          315354              0
National City Corp Common        COM     635405103            6031       181000 SH      Sole          181000              0
National Fuel Gas Co Common      COM     636180101            2261        52200 SH      Sole           52200              0
National Retail Properties       COM     637417106           20422       934200 SH      Sole          934200              0
Nationwide Health Properties I   COM     638620104          231694      8518170 SH      Sole         8431226          86944
Neuberger Berman Dvd Adv Fd CEF  COM     64127J102            3745       165700 SH      Sole          165700              0
Neuberger Berman Income Opp CEF  COM     64126L108            3261       207700 SH      Sole          207700              0
Neuberger Berman Real Estate CEF COM     64190A103            8219       477847 SH      Sole          477847              0
Neuberger Berman Realty Inc CEF  COM     64126G109            5692       253086 SH      Sole          253086              0
Newcastle Investment Corp Common COM     65105M108          135001      5384976 SH      Sole         5348276          36700
Newell Rubbermaid Inc Common     COM     651229106            2119        72000 SH      Sole           72000              0
NFJ Dvd Interest & Pr Strat CEF  COM     65337H109           12893       509000 SH      Sole          509000              0
Nicholas Applegate Eq & Cvrt CEF COM     65370K100            3782       155000 SH      Sole          155000              0
Nicholas-Applegate Conv. & Inc   COM     65370G109            2596       168904 SH      Sole          168904              0
Nicholas-Applegate Intl & Prem   COM     65370C108            2835       100000 SH      Sole          100000              0




      ITEM 1:                   ITEM 2:    ITEM 3:   ITEM 4:       ITEM 5:      ITEM 6:   ITEM 7:           ITEM 8:
---------------------------    -------    ---------  -------  ----------------- -------   --------  --------------------------
                                TITLE
                                  OF                  VALUE    SHARES/  SH/ PUT/ INVSTMT  OTHER          VOTING AUTHORITY
  NAME OF ISSUER                CLASS      CUSIP     (X1000)  PRN AMT   PRN CALL DSCRETN  MANAGERS    SOLE   SHARED     NONE
---------------------------    -------   ---------   -------  -------- --- ---- -------   --------   ------  -------   ------

Nike Inc Common                  COM     654106103           10824       185700 SH      Sole          185700              0
Nokia OYJ ADR                    COM     654902204            6825       242800 SH      Sole          242800              0
Nordstrom Inc Common             COM     655664100            3584        70100 SH      Sole           70100              0
Northeast Utilities Common       COM     664397106          16,854      594,300 SH      Sole         594,300              0
NRG Energy Common                COM     629377508           14924       359000 SH      Sole          359000              0
NSTAR Common                     COM     67019E107           27583       850013 SH      Sole          850013              0
Nuveen Diversified Dividend an   COM     6706EP105            6179       334200 SH      Sole          334200              0
Nuveen Equity Prem & Growth CEF  COM     6706EW100            1790        93700 SH      Sole           93700              0
Nuveen Equity Premium Income CEF COM     6706ER101            4284       234460 SH      Sole          234460              0
Nuveen Global Value Oppty CEF    COM     6706EH103            2524       130100 SH      Sole          130100              0
Nuveen Real Estate Income Fd CEF COM     67071B108            8478       352500 SH      Sole          352500              0
Nuveen Tax-Adv Tot Ret Strat CEF COM     67090H102            2002        75500 SH      Sole           75500              0
OGE Energy Corp Common           COM     670837103            6359       173500 SH      Sole          173500              0
Old Mutual Claymore Long-Short   COM     68003N103            2834       149700 SH      Sole          149700              0
Omega Healthcare Investors Inc   COM     681936100           30587      1932200 SH      Sole         1852500          79700
Oneok Inc Common                 COM     682680103            4950        98200 SH      Sole           98200              0
Paccar Inc Common                COM     693718108            3464        39800 SH      Sole           39800              0
Parkway Properties Inc/Md Common COM     70159Q104          112936      2351373 SH      Sole         2063173         288200
Paychex Inc Common               COM     704326107            5285       135100 SH      Sole          135100              0
Pepco Holdings Inc Common        COM     713291102           66834      2370000 SH      Sole         2370000              0
Petro-Canada Common              COM     71644E102            7145       134400 SH      Sole          134400              0
Pfizer Inc Common                COM     717081103           13755       537950 SH      Sole          537950              0
PG&E Corp Common                 COM     69331C108          104077      2297507 SH      Sole         2297507              0
PIMCO Corporate Opportunity      COM     72201B101             536        35455 SH      Sole           35455              0
PIMCO Global StocksPLUS & Inc    COM     722011103            1037        38800 SH      Sole           38800              0
Pinnacle West Capital Corp       COM     723484101           40651      1020100 SH      Sole         1020100              0
Pitney Bowes Inc Common          COM     724479100            4588        98000 SH      Sole           98000              0
Plum Creek Timber co Common      COM     729251108           93208      2237361 SH      Sole         2227061          10300
PNC Financial Services Group     COM     693475105             422         5900 SH      Sole            5900              0
PNM Resources Common             COM     69349H107            1943        69900 SH      Sole           69900              0
Post Properties Inc Common       COM     737464107           29166       559486 SH      Sole          500675          58811
PPG Industries Inc Common        COM     693506107            2382        31300 SH      Sole           31300              0
PPL Corp Common                  COM     69351T106           66361      1418278 SH      Sole         1418278              0
Procter & Gamble Co Common   COM     742718109           14190       231900 SH      Sole          231900              0
Progress Energy Inc Common       COM     743263105           91392      2004650 SH      Sole         2004650              0
Prologis Common                  COM     743410102          431880   7590162.03 SH      Sole      6802531.03         787631
PS Business Parks Inc Common     COM     69360J107           35824       565312 SH      Sole          506829          58483
Public Service Enterprise Grou   COM     744573106          129778      1478443 SH      Sole         1478443              0
Public Storage Inc Common        COM     74460D109          557235   7253775.36 SH      Sole      6398790.36         854985
Public Storage Inc Series A      COM     74460D729           21489       826200 SH      Sole          802400          23800
Questar Corp Common              COM     748356102             596        11278 SH      Sole           11278              0
Ramco-Gershenson Properties      COM     751452202           53798      1497300 SH      Sole         1448100          49200
Rayonier Inc Common              COM     754907103           23166       513216 SH      Sole          510816           2400
Real Estate Income Fund CEF      COM     50208C108            6803       315534 SH      Sole          315534              0
Reaves Utility Inc CEF           COM     756158101            2994       119000 SH      Sole          119000              0
Regency Centers Corp Common      COM     758849103          125256      1776685 SH      Sole         1584628         192057
Rio Tinto Plc ADR ADR            COM     767204100              31          100 SH      Sole             100              0
RR Donnelley & Sons Co Common    COM     257867101            2345        53900 SH      Sole           53900              0
SCANA Corp Common                COM     80589M102            6012       157000 SH      Sole          157000              0
Schlumberger LTD Common          COM     806857108            8885       104600 SH      Sole          104600              0
Sempra Energy Common             COM     816851109           12644       213468 SH      Sole          213468              0
Senior Housing Prop Trust Common COM     81721M109          150383      7389835 SH      Sole         7161443         228392
Sierra Pacific Resources Common  COM     826428104            1108        63100 SH      Sole           63100              0
Simon Property Group Inc Common  COM     828806109          656466      7055744 SH      Sole         5693211        1362533
SL Green Realty Corp Common      COM     78440X101          331676    2677182.6 SH      Sole       2349021.6         328161
Sonoco Products Common           COM     835495102            2522        58900 SH      Sole           58900              0
Source Capital Inc CEF           COM     836144105             689        10000 SH      Sole           10000              0
South Jersey Industries Common   COM     838518108             672        19000 SH      Sole           19000              0
Southern Union Co Common         COM     844030106             987        30300 SH      Sole           30300              0
Sovran Self Storage Inc Common   COM     84610H108          134029      2782993 SH      Sole         2709993          73000
Spectra Energy Corp Common       COM     847560109          102902      3963860 SH      Sole         3963860              0
Starwood Hotels & Resorts Worl   COM     85590A401          204117      3043341 SH      Sole         2654002         389339
Strategic Hotel Capital Inc      COM     86272T106          246049     10940404 SH      Sole        10173204         767200
Sun Communities Inc Common       COM     866674104           41333      1388411 SH      Sole         1234211         154200
Sunamerica Focused Alpha Gr CEF  COM     867037103            7096       372500 SH      Sole          372500              0
Sunstone Hotel Investors Inc     COM     867892101           47026      1656424 SH      Sole         1495659         160765
Supervalu Common                 COM     868536103            3761        81200 SH      Sole           81200              0
Targa Resources Partners LP      COM     87611X105           13166       393000 SH      Sole          393000              0
Taubman Centers Inc Common       COM     876664103           73701      1485599 SH      Sole         1157781         327818
TCW Strategic Income Fund CEF    COM     872340104             834       173400 SH      Sole          173400              0
Teco Energy Common               COM     872375100           13263       772000 SH      Sole          772000              0
Teva Pharmaceutical ADR          COM     881624209           10275       249100 SH      Sole          249100              0
The Southern Co Common           COM     842587107          127522      3718924 SH      Sole         3718924              0
Thomas Properties Group Inc      COM     884453101           24175      1512800 SH      Sole          937800         575000
Time Warner Common               COM     887317105           10539       500900 SH      Sole          500900              0
Total SA Spon ADR                COM     89151E109              36          450 SH      Sole             450              0
TS&W/Claymore T/A Balanced CEF   COM     87280R108            1177        78100 SH      Sole           78100              0
TXU Corp Common                  COM     873168108          123232      1831080 SH      Sole         1831080              0
U-Store-It Trust Common          COM     91274F104           92211      5626054 SH      Sole         5180821         445233
UDR INC Common                   COM     902653104          313070     11903803 SH      Sole        11017054         886749
Union Pacific Corp Common        COM     907818108              35          300 SH      Sole             300              0




      ITEM 1:                   ITEM 2:    ITEM 3:   ITEM 4:       ITEM 5:      ITEM 6:   ITEM 7:           ITEM 8:
---------------------------    -------    ---------  -------  ----------------- -------   --------  --------------------------
                                TITLE
                                  OF                  VALUE    SHARES/  SH/ PUT/ INVSTMT  OTHER          VOTING AUTHORITY
  NAME OF ISSUER                CLASS      CUSIP     (X1000)  PRN AMT   PRN CALL DSCRETN  MANAGERS    SOLE   SHARED     NONE
---------------------------    -------   ---------   -------  -------- --- ---- -------   --------   ------  -------   ------

United Parcel Service Inc Common COM      911312106           14074       192800 SH      Sole          192800              0
Universal Compression Partners   COM      913430104            7538       206000 SH      Sole          206000              0
Urstadt Biddle Properties Inc    COM      917286205           33593      1974877 SH      Sole         1889777          85100
US Bancorp Common                COM      902973304           16650       505300 SH      Sole          505300              0
Valero Energy Corp Common        COM      91913Y100            2290        31000 SH      Sole           31000              0
Vectren Corp Common              COM      92240G101           19448       722167 SH      Sole          722167              0
Ventas Inc Common                COM      92276F100          382935     10563708 SH      Sole        10356218         207490
Verizon Communications Inc       COM      92343V104           47350      1150100 SH      Sole         1150100              0
VF Corp Common                   COM      918204108            2509        27400 SH      Sole           27400              0
Vornado Realty Trust Common      COM      929042109          688568      6268822 SH      Sole         5814919         453903
Wachovia Corp Common             COM      929903102           11880       231800 SH      Sole          231800              0
Washington Mututal Inc. Common   COM      939322103            6524       153000 SH      Sole          153000              0
Washington Real Estate Inv       COM      939653101           43996      1293995 SH      Sole         1268195          25800
Waste Management Inc Common      COM      94106L109            2511        64300 SH      Sole           64300              0
Weingarten Realty Investors      COM      948741103           99462      2419993 SH      Sole         2166568         253425
Wells Fargo & Co Common          COM      949746101           19108       543300 SH      Sole          543300              0
Western Asset High Income Fund   COM      95766J102            4101       375174 SH      Sole          375174              0
Western Asset Managed Inc Fund   COM      95766K109            2275       340100 SH      Sole          340100              0
Western Asset Opportunity Fund   COM      95766L107            4371       664287 SH      Sole          664287              0
Whole Foods Market Common        COM      966837106             115         3000 SH      Sole            3000              0
Williams Cos Inc Common          COM      969457100            2286        72300 SH      Sole           72300              0
Windstream Corp Common           COM      97381W104           12280       832000 SH      Sole          832000              0
Wisconsin Energy Group Common    COM      976657106            2167        49000 SH      Sole           49000              0
Worthington Industries Common    COM      981811102            6833       315600 SH      Sole          315600              0
Xcel Energy Inc Common           COM      98389B100           64595      3155603 SH      Sole         3155603              0
Yum! Brands Common               COM      988498101           10693       326800 SH      Sole          326800              0
Barclays Bank PLC 6.625% (BCS)   ADR      06739F390            2371        92800 SH      Sole           92800              0
HSBC Holdings PLC 6.20% (HBC A)  ADR      404280604             503        21100 SH      Sole           21100              0
Prudential PLC 6.52% (PUK A)     PER      G7293H189             644        25900 SH      Sole           25900              0
Royal Bank of Scotland Pfd H     SPON ADR 780097879            3232       127400 SH      Sole          127400              0
Teekay LNG Partners LP Common    PRTNR    Y8564M105            6484       179700 SH      Sole          179700              0
Teekay Offshore Partners LP      PRTNR    Y8565J101            7304       214200 SH      Sole          214200              0
Williams Partners LP Common      COM UNIT 96950F104           41757       864900 SH      Sole          864900              0
Crescent Real Estate EQT Pfd A   PFD CV   225756204           35211      1416375 SH      Sole         1394675          21700


-----------------------------------------------------------------------------------------------------------------------------------
358 Data Records
19,668,599 Value Total
01 Other Manager on whose behalf report is filed