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

                                     Form 13F
                                Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended:       March 31, 2011
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.

This report is not an admission that Cohen & Steers, Inc. or its subsidiaries
are the beneficial owners of any securities covered by this report, and
Cohen & Steers, Inc. and its subsidiaries expressly disclaim beneficial
ownership of all shares reported herein pursuant to Rule 13d-4.


Person Signing this Report on Behalf of Reporting Manager:

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


Signature, Place, and Dating of Signing:


/s/ Lisa Phelan                 New York, NY                  May 13, 2011
-----------------              ---------------          ------------------

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:                     434

Form 13F Information Table Value Total:                 21,261,062 (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





                                                                          shares_prn          invstmt
issuer_name                          class_title      cusip       mkt_val      amt   sh_prn   dscretn      sole         none
                                                         (x1000)                                    


Abbott Laboratories Common             COM          002824100     68,340   1,393,263  SH      Sole      1,393,263          -
Acadia Realty Trust Common             COM          004239109     69,389   3,667,470  SH      Sole      3,538,770    128,700
Accenture Plc Common                   COM          G1151C101        137       2,500  SH      Sole          2,500          -
Advent Claymore Conv Sec & Inc CEF     COM          00764C109        882      44,500  SH      Sole         44,500          -
Advent Claymore Global Convert CEF     COM          007639107        841      85,600  SH      Sole         85,600          -
AGIC Convertible & Income FD CEF       COM          001191105      8,666     861,480  SH      Sole        861,480          -
AGIC Convertible & Income Fund CEF     COM          001190107     11,082   1,012,031  SH      Sole      1,012,031          -
AGIC Equity & Convertible Inc CEF      COM          00119P102         60       3,100  SH      Sole          3,100          -
AGIC Global Equity & Convert           COM          00119R108         17       1,000  SH      Sole          1,000          -
AGIC Intl & Prem Strategy CEF          COM          00119Q100         28       2,000  SH      Sole          2,000          -
Alexander's Inc Common                 COM          014752109     44,522     109,403  SH      Sole        103,029      6,374
Alliance Bernstein Income Fund CEF     COM          01881E101     10,079   1,310,600  SH      Sole      1,310,600          -
Alliance National Muni Income CEF      COM          01864U106        635      48,200  SH      Sole         48,200          -
Alliance World Dollar Gov't Fu CEF     COM          01879R106      6,967     467,600  SH      Sole        467,600          -
Alpine Global Premier Proper CEF       COM          02083A103     13,047   1,861,269  SH      Sole      1,861,269          -
Alpine Total Dynamic Div Fund CEF      COM          021060108     20,249   3,292,455  SH      Sole      3,292,455          -
AMB Property Corp Common               COM          00163T109     31,800     884,076  SH      Sole        855,612     28,464
American Assets Trust Inc Common       COM          024013104    104,349   4,905,928  SH      Sole      4,669,930    235,998
American Express AXP                   COM          025816109     34,894     772,000  SH      Sole        772,000          -
American States Water Co Common        COM          029899101      5,833     162,669  SH      Sole        162,669          -
American Tower Corporation CL A        COM          029912201    121,771   2,349,889  SH      Sole      2,349,889          -
Apache Corp Common                     COM          037411105     70,692     539,960  SH      Sole        539,960          -
Apartment Invt & Mgmt                  COM          03748R101    277,081  10,878,702  SH      Sole     10,250,099    628,603
Apple Inc Common                       COM          037833100     18,398      52,800  SH      Sole         52,800          -
Archer Daniels Midland Common          COM          039483102     36,247   1,006,579  SH      Sole      1,006,579          -
Associated Estates Realty Corp         COM          045604105     76,114   4,793,087  SH      Sole      4,699,878     93,209
AT&T Common                            COM          00206R102     90,437   2,955,445  SH      Sole      2,955,445          -
Automatic Data Processing Common       COM          053015103      6,260     122,000  SH      Sole        122,000          -
Avago technologies Ltd                 COM          Y0486S104      3,614     116,200  SH      Sole        116,200          -
AvalonBay Communities Inc Common       COM          053484101    663,822   5,528,171  SH      Sole      5,240,601    287,570
Bank of America Corp Common            COM          060505104     81,222   6,093,200  SH      Sole      6,093,200          -
Bank Of New York Mellon Corp           COM          064058100     37,980   1,271,500  SH      Sole      1,271,500          -
Bankunited Inc Common                  COM          06652K103      7,172     249,818  SH      Sole        249,818          -
Banner Corporation                     COM          06652V109      3,872   1,633,587  SH      Sole      1,633,587          -
Barclays Bank 7.10% (BCS A)            PFD          06739H776      3,504     138,902  SH      Sole        136,583      1,450
Barclays Bank 8.125% (BCS D)           PFD          06739H362      3,944     150,000  SH      Sole        150,000          -
Barclays Bank Plc  7.75% (BCS C)       PFD          06739H511     15,753     612,473  SH      Sole        608,082      3,142
Baxter International Inc Common        COM          071813109      5,345      99,400  SH      Sole         99,400          -
BB&T Corp Common                       COM          054937107        458      16,700  SH      Sole         16,700          -
Becton Dickinson & Co Common       COM          075887109      7,659      96,200  SH      Sole         96,200          -
BHP Billiton Ltd - Spon Adr            ADR          088606108      1,055      11,000  SH      Sole         11,000          -
BioMed Realty Trust Inc Common         COM          09063H107    141,046   7,415,686  SH      Sole      6,970,293    445,393
Blackrock Core Bond Trust              COM          09249E101         45       3,700  SH      Sole          3,700          -
Blackrock Corp HY Fund VI CEF          COM          09255P107      3,198     272,631  SH      Sole        272,631          -
Blackrock Corporate High Y CEF         COM          09255L106        391      54,500  SH      Sole         54,500          -
Blackrock Corporate High Yield CEF     COM          09255N102      5,441     458,001  SH      Sole        458,001          -
Blackrock Corporate HY FD III CEF      COM          09255M104      1,717     240,200  SH      Sole        240,200          -
BlackRock Debt Strategies CEF          COM          09255R103        397      99,400  SH      Sole         99,400          -
Blackrock Diversified Income S CEF     COM          09255W102         17       1,600  SH      Sole          1,600          -
BlackRock EcoSolutions Investm         COM          092546100         24       2,000  SH      Sole          2,000          -
Blackrock Enhanced Dividend CEF        COM          09251A104         78       8,700  SH      Sole          8,700          -
BlackRock Enhanced Government          COM          09255K108         25       1,600  SH      Sole          1,600          -
BlackRock Floating Rate Income         COM          09255X100         37       2,400  SH      Sole          2,400          -
Blackrock Floating rt in st II CEF     COM          09255Y108         20       1,400  SH      Sole          1,400          -
Blackrock Global Enrg & Res CEF        COM          09250U101      2,031      64,800  SH      Sole         64,800          -
Blackrock Global Floating  RT CEF      COM          091941104         48       3,200  SH      Sole          3,200          -
Blackrock Health Sciences Trus CEF     COM          09250W107         27       1,000  SH      Sole          1,000          -
BlackRock Income Opportunity T         COM          092475102         34       3,600  SH      Sole          3,600          -
BlackRock Income Trust Inc             COM          09247F100         41       6,100  SH      Sole          6,100          -
Blackrock International Growth CEF     COM          092524107      1,402     137,140  SH      Sole        137,140          -
Blackrock Ltd Duration Inc Tru CEF     COM          09249W101      1,278      73,800  SH      Sole         73,800          -
Blackrock Municipal Income Tr CEF      COM          09249N101        627      46,800  SH      Sole         46,800          -
Blackrock Pfd & Eq Adv Tr CEF          COM          092508100         96       7,900  SH      Sole          7,900          -
Blackrock Preferred Opportunit CEF     COM          09249V103        404      38,400  SH      Sole         38,400          -
Blackrock Real Asset Equity CEF        COM          09254B109      6,507     415,800  SH      Sole        415,800          -
Blrk Mnvst Fnd II A W28 CEF            COM          09253T101        401      28,938  SH      Sole         28,938          -
Boardwalk Pipeline Partners LP         COM          096627104         60       1,850  SH      Sole          1,850          -
Boston Properties Inc Common           COM          101121101    736,921   7,769,334  SH      Sole      7,364,587    404,747
Brandywine Realty Trust Common         COM          105368203     72,758   5,993,219  SH      Sole      5,813,015    180,204
BRE Properties Inc Common              COM          05564E106    181,627   3,849,646  SH      Sole      3,714,234    135,412
Bristol-Myers Squibb Co Common         COM          110122108        185       7,000  SH      Sole          7,000          -
Brookfield Properties Co Common        COM          112900105     13,600     767,482  SH      Sole        684,306     83,176
Buckeye Partners LP Common             COM          118230101     15,862     249,640  SH      Sole        249,640          -
Calamos Convertible & Income Fund      COM          12811P108        841      61,630  SH      Sole         61,630          -
Calamos Global Total Return CEF        COM          128118106         15       1,000  SH      Sole          1,000          -
Camden Property Trust Common           COM          133131102      1,324      23,300  SH      Sole         23,300          -
Campus Crest Communities               COM          13466Y105     58,553   4,949,526  SH      Sole      4,687,414    262,112
Capital And Inc Strat Fd Inc CEF       COM          09256A109         89       5,900  SH      Sole          5,900          -
Carnival Corp Common                   COM          143658300     16,702     435,400  SH      Sole        435,400          -
Caterpillar Inc Common                 COM          149123101      3,931      35,300  SH      Sole         35,300          -
CBL & Associates Properties            COM          124830100        671      38,532  SH      Sole         38,532          -
CenterPoint Energy, Inc. Common        COM          15189T107     17,148     976,566  SH      Sole        976,566          -
Central Fund Canada Cl A CEF           COM          153501101     19,582     875,386  SH      Sole        875,386          -
Central GoldTrust                      COM          153546106      2,021      37,200  SH      Sole         37,200          -
Chesapeake Lodging Trust Common        COM          165240102      9,889     568,000  SH      Sole        535,534     32,466
Chesapeake Midstream Partner           COM          16524K108         25         875  SH      Sole            875          -
Chevron Corp Common                    COM          166764100    126,276   1,175,430  SH      Sole      1,175,430          -
China Fund Inc CEF                     COM          169373107      1,121      35,600  SH      Sole         35,600          -
China Mobile Ltd ADR                   COM          16941M109     16,938     366,300  SH      Sole        366,300          -
Chubb Corp Common                      COM          171232101     41,029     669,200  SH      Sole        669,200          -
Cia De Saneamento Basico Common        ADR          20441A102      3,125      53,200  SH      Sole         53,200          -
Citigroup Inc Common                   COM          172967101     61,081  13,819,343  SH      Sole     13,819,343          -
Clearbridge Energy MLP                 COM          184692101      2,446     108,220  SH      Sole        108,220          -
Clough Global Equity Fund CEF          COM          18914C100      4,894     317,400  SH      Sole        317,400          -
Clough Global Opportunities Fu CEF     COM          18914E106     14,663   1,058,685  SH      Sole      1,058,685          -
Cogdell Common                         COM          19238U107     45,027   7,580,364  SH      Sole      7,346,664    233,700
Colgate-Palmolive Co Common            COM          194162103        646       8,000  SH      Sole          8,000          -
Colonial Properties Trust Common       COM          195872106     70,162   3,644,770  SH      Sole      3,277,413    367,357
Comcast Corp Common                    COM          20030N101        865      35,000  SH      Sole         35,000          -
Commonwealth REIT 6.5% PFD D           PFD          203233408     36,868   1,713,189  SH      Sole      1,670,689     41,800
ConocoPhillips Common                  COM          20825C104     52,947     663,000  SH      Sole        663,000          -
Copano Energy LLC Common               COM          217202100         76       2,125  SH      Sole          2,125          -
Coresite Realty Corp Common            COM          21870Q105      2,099     132,532  SH      Sole        132,532          -
Corning Inc Common                     COM          219350105     50,521   2,448,900  SH      Sole      2,448,900          -
Corporate Office Properties Trust      COM          22002T108     37,297   1,032,019  SH      Sole        961,172     70,847
Corrections Corp of America            COM          22025Y407      5,540     227,030  SH      Sole        227,030          -
Costco Wholesale Corp Common           COM          22160K105     42,716     582,600  SH      Sole        582,600          -
Cousins Properties Inc Common          COM          222795106          -           4  SH      Sole              4          -
Crexus Investment Corp Common          COM          226553105        252      22,100  SH      Sole         22,100          -
Crown Castle Intl Corp Common          COM          228227104     62,801   1,475,931  SH      Sole      1,475,931          -
Cushing MLP Total Return Fun           COM          231631102      2,182     201,100  SH      Sole        201,100          -
CVS Corp Common                        COM          126650100     64,062   1,866,600  SH      Sole      1,866,600          -
DCP Midstream Partners LP Common       COM          23311P100         45       1,100  SH      Sole          1,100          -
DCT Industrial Trust Common            COM          233153105     10,761   1,938,874  SH      Sole      1,805,776    133,098
Delaware Enhanced Global Divid         COM          246060107         25       1,900  SH      Sole          1,900          -
Developers Diversified Realty          COM          251591103    473,671  33,833,710  SH      Sole     32,225,819  1,607,891
Devon Energy Corp Common               COM          25179M103     10,138     110,473  SH      Sole        110,473          -
DiamondRock Hospitality Co             COM          252784301     73,080   6,542,473  SH      Sole      6,416,998    125,475
Digital Realty Trust Inc Common        COM          253868103     74,170   1,275,727  SH      Sole      1,250,231     25,496
Disney Co Common                       COM          254687106     62,803   1,457,475  SH      Sole      1,457,475          -
DNP Select Income Fund CEF             COM          23325P104      3,542     372,830  SH      Sole        372,830          -
Douglas Emmett Common                  COM          25960P109    105,543   5,628,933  SH      Sole      5,442,640    186,293
Dow 30 Enhanced Preimium & Inc         COM          260537105         67       5,800  SH      Sole          5,800          -
Dow 30 Prem & Div Inc Fund CEF         COM          260582101         21       1,400  SH      Sole          1,400          -
Dow Chemical Co/The Common             COM          260543103     29,713     787,100  SH      Sole        787,100          -
Dreyfus High Yield Strategies          COM          26200S101         66      14,200  SH      Sole         14,200          -
Duff & Phelps Utility & Corp CEF       COM          26432K108         38       3,500  SH      Sole          3,500          -
Duke Energy Corp Common                COM          26441C105     11,802     650,268  SH      Sole        650,268          -
Duke Realty Corp Common                COM          264411505     45,796   3,268,794  SH      Sole      3,044,415    224,379
DuPont Fabros Technology Inc           COM          26613Q106    157,906   6,511,589  SH      Sole      6,171,487    340,102
DWS High Income Trust                  COM          23337C208         13       1,300  SH      Sole          1,300          -
DWS Multi-Market Income Trust          COM          23338L108         19       1,800  SH      Sole          1,800          -
EastGroup Properties Inc Common        COM          277276101     51,263   1,165,866  SH      Sole      1,046,733    119,133
Eaton Corp Common                      COM          278058102     14,425     260,200  SH      Sole        260,200          -
Eaton Vance Enh Eqt Inc II CEF         COM          278277108         96       7,600  SH      Sole          7,600          -
Eaton Vance Enhanced Eq Incm           COM          278274105         69       5,600  SH      Sole          5,600          -
Eaton Vance Float Rate Inc CEF         COM          278279104      8,396     509,146  SH      Sole        509,146          -
Eaton Vance Ltd Duration Inc F CEF     COM          27828H105     11,781     737,242  SH      Sole        737,242          -
Eaton Vance Risk-Managed Diver         COM          27829G106      3,597     280,600  SH      Sole        280,600          -
Eaton Vance Senior Floating Rate       COM          27828Q105      3,682     223,826  SH      Sole        223,826          -
Eaton Vance Senior Income Tr           COM          27826S103      3,708     509,287  SH      Sole        509,287          -
Eaton Vance Short Duration Div CEF     COM          27828V104        621      36,700  SH      Sole         36,700          -
Eaton Vance T/M Buy-Write Opp          COM          27828Y108     10,455     811,756  SH      Sole        811,756          -
Eaton Vance TA Gl Div & Inc CEF        COM          27828S101      9,973     671,600  SH      Sole        671,600          -
Eaton Vance TA GL Div Opp CEF          COM          27828U106      8,271     376,800  SH      Sole        376,800          -
Eaton Vance Tax Man Glbl Br CEF        COM          27829C105      5,074     414,165  SH      Sole        414,165          -
Eaton Vance Tax Man Glbl CEF           COM          27829F108      4,487     424,062  SH      Sole        424,062          -
Eaton Vance Tax-Adv Dvd Inc CEF        COM          27828G107     19,371   1,099,375  SH      Sole      1,099,375          -
Eaton Vance Tax-Mgd Dvsfied Eq         COM          27828N102      4,367     397,017  SH      Sole        397,017          -
Ecolab Inc Common                      COM          278865100     35,872     703,100  SH      Sole        703,100          -
Education Realty Trust Inc Common      COM          28140H104     70,011   8,718,622  SH      Sole      8,167,467    551,155
El Paso Corp Common                    COM          28336L109     25,677   1,426,500  SH      Sole      1,426,500          -
El Paso Pipeline Partners LP           COM          283702108         88       2,430  SH      Sole          2,430          -
Enbridge Energy Common                 COM          29250R106      8,639     133,693  SH      Sole        133,693          -
Energy Income And Growth Fd CEF        COM          292697109      5,540     190,380  SH      Sole        190,380          -
Energy Transfer Equity Lp Common       COM          29273V100         68       1,500  SH      Sole          1,500          -
Energy Transfer Partners LP Common     COM          29273R109     30,488     589,027  SH      Sole        589,027          -
Entergy Corp Common                    COM          29364G103     25,315     376,662  SH      Sole        376,662          -
Enterprise Products Ptnrs Common       COM          293792107     37,773     877,214  SH      Sole        877,214          -
Entertainment Properties Trust 9% CV   PFD          29380T600      9,753     353,000  SH      Sole        311,000     42,000
Equity Lifestyle Properties Common     COM          29472R108    195,505   3,391,234  SH      Sole      3,185,204    206,030
Equity Residential Common              COM          29476L107  1,199,775  21,268,837  SH      Sole     20,217,203  1,051,634
Essex Property Trust Inc Common        COM          297178105    158,630   1,279,273  SH      Sole      1,225,708     53,565
EV Energy Partner LP Common            COM          26926V107         54       1,000  SH      Sole          1,000          -
Extra Space Storage Inc Common         COM          30225T102     82,948   4,005,235  SH      Sole      3,732,946    272,289
Exxon Mobil Corp Common                COM          30231G102     54,974     653,447  SH      Sole        653,447          -
F&C / Claymore Pfd Sec Inc Fund        COM          338478100      7,972     466,772  SH      Sole        466,772          -
F&C / Claymore Total Return Fund       COM          338479108      4,684     255,800  SH      Sole        255,800          -
Federal Realty Invs Trust Common       COM          313747206     46,555     570,805  SH      Sole        558,917     11,888
Federated Enhanc Treas                 COM          314162108         32       2,100  SH      Sole          2,100          -
FelCor Lodging Trust Inc Common        COM          31430F101     22,773   3,715,124  SH      Sole      3,457,149    257,975
Financial Select Sector SPDR Energy    COM          81369Y506      6,481      81,200  SH      Sole         81,200          -
First Industrial Realty Trust Common   COM          32054K103     17,181   1,445,012  SH      Sole      1,428,595     16,417
First Trust Aberdeen Global CEF        COM          337319107      2,562     152,400  SH      Sole        152,400          -
First Trust/Four Crns SR F II CEF      COM          33733U108        327      22,000  SH      Sole         22,000          -
Ford Motor Co Common                   COM          345370860        746      50,000  SH      Sole         50,000          -
Forest City Enterprises Inc Common     COM          345550107    213,809  11,354,737  SH      Sole     10,698,160    656,577
Franklin Resources Inc Common          COM          354613101     33,734     269,700  SH      Sole        269,700          -
Franklin Templeton Ltd Dur Inc CEF     COM          35472T101      1,702     129,500  SH      Sole        129,500          -
Freeport-McMoRan Copper & Gold         COM          35671D857      5,000      90,000  SH      Sole         90,000          -
Frontier Communications Corp           COM          35906A108      1,196     145,536  SH      Sole        145,536          -
Gabelli Dividend & Income Tr CEF       COM          36242H104     10,390     624,769  SH      Sole        624,769          -
Gabelli Equity Trust CEF               COM          362397101     18,626   3,013,900  SH      Sole      3,013,900          -
Gabelli Gold Nat Res & Incom CEF       COM          36244N109      3,948     209,198  SH      Sole        209,198          -
General Dynamics Corp Common           COM          369550108     25,450     332,419  SH      Sole        332,419          -
General Electric Co Common             COM          369604103    105,722   5,272,930  SH      Sole      5,272,930          -
General Growth Properties Inc          COM          370023103    527,434  34,071,921  SH      Sole     31,364,846  2,707,075
Global High Income Fund Inc            COM          37933G108         21       1,700  SH      Sole          1,700          -
Goldman Sach Group, Inc.               COM          38141G104     54,918     346,550  SH      Sole        346,550          -
Google Inc CL A Common                 COM          38259P508     12,076      20,600  SH      Sole         20,600          -
Grupo Aeroportuario Common             ADR          400506101      1,474      34,690  SH      Sole         34,690          -
Halliburton Co.                        COM          406216101     44,253     887,900  SH      Sole        887,900          -
Harris Corp Common                     COM          413875105      4,638      93,500  SH      Sole         93,500          -
HCC Insurance Holdings Inc             COM          404132102     29,090     929,081  SH      Sole        929,081          -
HCP Common                             COM          40414L109    343,796   9,061,582  SH      Sole      8,488,937    572,645
Health Care REIT Inc Common            COM          42217K106    403,004   7,685,056  SH      Sole      7,271,514    413,542
Helios Multi-Sector High Incom         COM          42327Y202          6       1,200  SH      Sole          1,200          -
Helios Total Return Fund Inc           COM          42327V109         16       2,600  SH      Sole          2,600          -
Hersha Hospitality Trust Common        COM          427825104    128,738  21,672,997  SH      Sole     20,405,330  1,267,667
Hewlett-Packard Co Common              COM          428236103      5,305     129,474  SH      Sole        129,474          -
Highland Credit Strategies CEF         COM          43005Q107        363      48,300  SH      Sole         48,300          -
Highwoods Properties Inc Common        COM          431284108     35,937   1,026,479  SH      Sole        956,247     70,232
Home Depot Inc                         COM          437076102      3,221      86,900  SH      Sole         86,900          -
Home Properties Inc Common             COM          437306103    148,565   2,520,189  SH      Sole      2,437,173     83,016
Hospitality Properties Trust Common    COM          44106M102     12,523     540,955  SH      Sole        540,955          -
Host Hotels & Resorts Common           COM          44107P104    537,159  30,503,116  SH      Sole     28,663,457  1,839,659
HSBC Holdings PLC 6.20% (HBC A)        PFD          404280604        700      29,003  SH      Sole         26,574      1,594
Hudson Pacific Prop                    COM          444097109     43,477   2,957,622  SH      Sole      2,767,326    190,296
Huntington Bancshares 8.5% CV          PFD          446150401      1,535       1,320  SH      Sole          1,320          -
Hyatt Hotels Common                    COM          448579102    102,097   2,372,133  SH      Sole      2,304,360     67,773
Inergy LP Common                       COM          456615103         59       1,475  SH      Sole          1,475          -
ING Clarion Global Real Estate CEF     COM          44982G104      3,716     452,612  SH      Sole        452,612          -
ING Infrastructure Industria CEF       COM          45685U100      2,673     122,000  SH      Sole        122,000          -
Intel Corp Common                      COM          458140100      3,435     170,300  SH      Sole        170,300          -
International Business Machine         COM          459200101     10,784      66,133  SH      Sole         66,133          -
Iron Mountain Inc Common               COM          462846106     22,982     735,900  SH      Sole        735,900          -
ITC Holdings Corp Common               COM          465685105      9,384     134,247  SH      Sole        134,247          -
John Han Bk & Thrift Opp Fd            COM          409735206      1,428      82,400  SH      Sole         82,400          -
John Hancock Income Secs Tr            COM          410123103         14       1,000  SH      Sole          1,000          -
John Hancock Investors Trust CEF       COM          410142103         22       1,000  SH      Sole          1,000          -
John Hancock Pat Prem Div Fd CEF       COM          41013T105         49       4,200  SH      Sole          4,200          -
John Hancock Preferred Inc Fun CEF     COM          41013W108      1,152      60,619  SH      Sole         60,619          -
John Hancock Preferred Income CEF      COM          41013X106      2,215     117,636  SH      Sole        117,636          -
John Hancock Preferred Income CEF      COM          41021P103      2,789     166,505  SH      Sole        166,505          -
John Hancock T/A Dvd Income CEF        COM          41013V100      2,264     143,090  SH      Sole        143,090          -
John Hancock Tax-Advantaged Gl         COM          41013P749         14       1,100  SH      Sole          1,100          -
Johnson & Johnson Common               COM          478160104     50,323     849,336  SH      Sole        849,336          -
Johnson Controls Common                COM          478366107     32,287     776,700  SH      Sole        776,700          -
JPMorgan Chase Common                  COM          46625H100    123,995   2,689,694  SH      Sole      2,689,694          -
Kayne Anderson Energy Tot Rt CEF       COM          48660P104      9,205     290,924  SH      Sole        290,924          -
Kayne Anderson Mlp Investmen CEF       COM          486606106      3,385     103,600  SH      Sole        103,600          -
Keycorp 7.75% CV (KEY G)               COM          493267405      4,696      41,785  SH      Sole         41,585        200
Keycorp Common                         COM          493267108      2,049     230,721  SH      Sole        230,721          -
Kimco Realty Corp Common               COM          49446R109    266,170  14,513,118  SH      Sole     13,585,194    927,924
Kinder Morgan Energy Partners          COM          494550106     24,523     330,992  SH      Sole        330,992          -
Kinder Morgan Holdco LLC Common        COM          49456B101        686      23,136  SH      Sole         23,136          -
Kinder Morgan Manage Common            COM          49455U100        285       4,350  SH      Sole          4,350          -
Kraft Foods Inc Common                 COM          50075N104      1,119      35,673  SH      Sole         35,673          -
L-3 Communications Holdings            COM          502424104     18,426     235,300  SH      Sole        235,300          -
Lennar Corp CL A Common                COM          526057104      1,911     105,479  SH      Sole        105,479          -
Lexington Realty Trust Pr.C CV         PFD          529043309     12,521     293,294  SH      Sole        275,195     18,099
Liberty All Star Equity Fund CEF       COM          530158104      9,988   1,898,886  SH      Sole      1,898,886          -
Liberty Property Trust Common          COM          531172104    346,559  10,533,697  SH      Sole      9,956,590    577,107
Linn Energy LLC Units                  COM          536020100         58       1,500  SH      Sole          1,500          -
LMP Cap & Inc CEF CEF                  COM          50208A102         69       5,200  SH      Sole          5,200          -
Lockheed Martin Corp Common            COM          539830109     31,396     390,500  SH      Sole        390,500          -
Macerich Co/The Common                 COM          554382101    198,411   4,005,871  SH      Sole      3,605,992    399,879
Mack-Cali Realty Corp Common           COM          554489104    180,982   5,338,696  SH      Sole      5,158,325    180,371
Macquarie Global Infr Tot Rt CEF       COM          55608D101      1,868     102,500  SH      Sole        102,500          -
Macquarie/Ft Gl Int/Ut Dv In CEF       COM          55607W100      3,227     203,100  SH      Sole        203,100          -
Magellan Midstream Partners            COM          559080106     10,371     173,257  SH      Sole        173,257          -
Marathon Oil Corp Common               COM          565849106     19,629     368,200  SH      Sole        368,200          -
Markwest Energy Partners LP            COM          570759100     61,209   1,262,822  SH      Sole      1,262,822          -
McDonald's Corp Common                 COM          580135101     58,227     765,239  SH      Sole        765,239          -
McKesson Corp Common                   COM          58155Q103        285       3,600  SH      Sole          3,600          -
Medtronic Common                       COM          585055106      8,020     203,800  SH      Sole        203,800          -
Merck and Co Inc Common                COM          58933Y105     67,434   2,042,829  SH      Sole      2,042,829          -
MFS Charter Income Trust               COM          552727109         57       6,200  SH      Sole          6,200          -
MFS Government Markets Income          COM          552939100         26       4,100  SH      Sole          4,100          -
MFS Intermediate Income Trust CEF      COM          55273C107         64      10,500  SH      Sole         10,500          -
MFS Mutimarket Inc. Trust CEF          COM          552737108      2,171     323,500  SH      Sole        323,500          -
Microsoft Common                       COM          594918104     27,691   1,091,915  SH      Sole      1,091,915          -
Morgan Stanley China A Share CEF       COM          617468103        868      30,200  SH      Sole         30,200          -
Morgans Hotel Group Co Common          COM          61748W108      3,339     340,702  SH      Sole        340,702          -
MS Emerging Mkts Domestic Debt         COM          617477104      1,797     110,900  SH      Sole        110,900          -
National Retail Properties Common      COM          637417106      1,825      69,847  SH      Sole         69,847          -
Nationwide Health Properties I         COM          638620104    226,752   5,331,569  SH      Sole      5,167,364    164,205
NATL WESTMINSTER 7.76% (NW C)          PFD          638539882     34,659   1,441,725  SH      Sole      1,438,092      2,794
Natural Resource Partners LP           COM          63900P103         90       2,570  SH      Sole          2,570          -
Neuberger Berman High Yield St         COM          64128C106         25       1,700  SH      Sole          1,700          -
Neuberger Berman Real Estate CEF       COM          64190A103         26       6,200  SH      Sole          6,200          -
New America High Income Fund CEF       COM          641876800      7,079     693,336  SH      Sole        693,336          -
Newmont Mining Corp Common             COM          651639106     17,820     326,500  SH      Sole        326,500          -
NextEra Energy Inc Common              COM          65339F101     87,942   1,595,456  SH      Sole      1,595,456          -
NFJ Dvd Interest & Pr Strat CEF        COM          65337H109      4,327     238,000  SH      Sole        238,000          -
Nike Inc Common                        COM          654106103     20,177     266,537  SH      Sole        266,537          -
Nordstrom Inc Common                   COM          655664100     39,461     879,253  SH      Sole        879,253          -
Norfolk Southern Corporation           COM          655844108     26,861     387,768  SH      Sole        387,768          -
Northrop Grumman Corp Common           COM          666807102      5,600      89,300  SH      Sole         89,300          -
NuStar Energy LP Common                COM          67058H102         88       1,300  SH      Sole          1,300          -
Nuveen Build American Bond CEF         COM          67074C103        448      24,800  SH      Sole         24,800          -
Nuveen Core Equity Alpha Fund          COM          67090X107         44       3,100  SH      Sole          3,100          -
Nuveen Diversified Dividend an CEF     COM          6706EP105      3,221     284,551  SH      Sole        284,551          -
Nuveen Equity Prem & Growth CEF        COM          6706EW100         20       1,500  SH      Sole          1,500          -
Nuveen Equity Prem Opp Fund CEF        COM          6706EM102         79       6,200  SH      Sole          6,200          -
Nuveen Equity Premium Advantag         COM          6706ET107         39       3,000  SH      Sole          3,000          -
Nuveen Equity Premium Income CEF       COM          6706ER101         51       4,000  SH      Sole          4,000          -
Nuveen Floating Rate Inc Opp CEF       COM          6706EN100        824      67,300  SH      Sole         67,300          -
Nuveen Floating rate Income CEF        COM          67072T108      2,266     183,800  SH      Sole        183,800          -
Nuveen Global Government Enh CEF       COM          67073C104         21       1,400  SH      Sole          1,400          -
Nuveen Global Value Oppty CEF          COM          6706EH103         42       2,100  SH      Sole          2,100          -
Nuveen Mortgage Opp Term FD CEF        COM          67074R100      1,244      51,000  SH      Sole         51,000          -
Nuveen Mtg Opportunity                 COM          670735109        841      33,800  SH      Sole         33,800          -
Nuveen Multi-Currency Short CEF        COM          67090N109         82       5,900  SH      Sole          5,900          -
Nuveen Preferred & Conv. Incom CEF     COM          67073B106         87      10,300  SH      Sole         10,300          -
Nuveen Quality Pfd Income Fund CEF     COM          67071S101         44       5,700  SH      Sole          5,700          -
Nuveen Quality Preferred Incom CEF     COM          67072C105         96      11,600  SH      Sole         11,600          -
Nuveen Quality Preferred Incom CEF     COM          67072W101         14       1,800  SH      Sole          1,800          -
Nuveen Real Estate Income Fd CEF       COM          67071B108      1,510     139,600  SH      Sole        139,600          -
Nuveen Senior Income Fund              COM          67067Y104         30       4,000  SH      Sole          4,000          -
Nuveen Tax-Adv Tot Ret Strat CEF       COM          67090H102      1,028      89,500  SH      Sole         89,500          -
Nuveen Tax-Advantaged Dividend         COM          67073G105         17       1,300  SH      Sole          1,300          -
Occidental Petroleum Corp Common       COM          674599105     90,342     864,600  SH      Sole        864,600          -
Oil Services Holders Trust             COM          678002106      2,613      15,900  SH      Sole         15,900          -
ONEOK Partners LP 8.625% 3/1/19        COM          68268N103        119       1,450  SH      Sole          1,450          -
Oracle Corp Common                     COM          68389X105     94,617   2,835,400  SH      Sole      2,835,400          -
Orient Express Hotels Ltd Common       COM          G67743107     55,367   4,475,882  SH      Sole      4,072,271    403,611
Paa Natural Gas Storage Lp Common      COM          693139107         29       1,250  SH      Sole          1,250          -
Patterson Companies Common             COM          703395103     33,291   1,034,200  SH      Sole      1,034,200          -
Peabody Energy Corp Common             COM          704549104     21,307     296,100  SH      Sole        296,100          -
Pebblebrook Hotel Trust Common         COM          70509V100     18,033     814,139  SH      Sole        757,473     56,666
Penn Virginia Resource Partners LP     COM          707884102         66       2,400  SH      Sole          2,400          -
Pennsylvania Real Estate Investment    COM          709102107     38,171   2,674,901  SH      Sole      1,988,646    686,255
PepsiCo, Inc.                          COM          713448108     20,361     316,110  SH      Sole        316,110          -
Pfizer Inc Common                      COM          717081103     51,031   2,512,584  SH      Sole      2,512,584          -
PG&E Corp Common                       COM          69331C108    106,022   2,399,780  SH      Sole      2,399,780          -
Philip Morris International Common     COM          718172109     41,572     633,433  SH      Sole        633,433          -
PIMCO Corporate Income Fund CEF        COM          72200U100         75       4,500  SH      Sole          4,500          -
PIMCO Corporate Opportunity Fu CEF     COM          72201B101      7,977     384,079  SH      Sole        384,079          -
PIMCO Global StocksPLUS & Inc          COM          722011103         44       1,800  SH      Sole          1,800          -
PIMCO High Income Fund CEF             COM          722014107      5,361     382,672  SH      Sole        382,672          -
PIMCO Income Opportunity Fund          COM          72202B100      5,313     193,900  SH      Sole        193,900          -
PIMCO Income Strategy Fund             COM          72201H108         44       3,700  SH      Sole          3,700          -
PIMCO Income Strategy Fund II          COM          72201J104      1,198     114,900  SH      Sole        114,900          -
Pimco Municipal Income Fund II         COM          72200W106        980      97,000  SH      Sole         97,000          -
PIMCO Strategic Global Governm         COM          72200X104        466      42,130  SH      Sole         42,130          -
Pioneer Diversified High Trust CEF     COM          723653101        868      41,000  SH      Sole         41,000          -
Pioneer Floating Rate Trust CEF        COM          72369J102      1,457     109,200  SH      Sole        109,200          -
Pioneer High Income Trust CEF          COM          72369H106      4,199     253,738  SH      Sole        253,738          -
Plains All Amer Pipeline LP Common     COM          726503105        119       1,875  SH      Sole          1,875          -
PNC Financial Services Group           COM          693475105        907      14,400  SH      Sole         14,400          -
Post Properties Inc Common             COM          737464107    276,897   7,054,699  SH      Sole      6,686,977    367,722
PPL Corp Common                        COM          69351T106     26,195   1,035,380  SH      Sole      1,035,380          -
Praxair Inc Common                     COM          74005P104      1,260      12,400  SH      Sole         12,400          -
Preferred & Corp. Inc. Strateg CEF     COM          09255J101        378      41,300  SH      Sole         41,300          -
Preferred Income Strategies Fu CEF     COM          09255H105         50       5,100  SH      Sole          5,100          -
Procter & Gamble Co Common             COM          742718109     56,165     911,776  SH      Sole        911,776          -
Prologis Common                        COM          743410102    689,841  43,169,003  SH      Sole     41,078,467  2,090,536
Prudential Financial                   COM          744320102     92,154   1,496,500  SH      Sole      1,496,500          -
PS Business Parks Inc Common           COM          69360J107    117,711   2,031,594  SH      Sole      1,902,572    129,022
Public Storage Inc Common              COM          74460D109    841,740   7,589,399  SH      Sole      7,180,671    408,728
Putnam High Income Securities          COM          746779107         12       1,400  SH      Sole          1,400          -
Putnam Managed Muni Incm Trs CEF       COM          746823103      1,136     164,600  SH      Sole        164,600          -
Putnam Master Intermediate Inc         COM          746909100         56       9,400  SH      Sole          9,400          -
Putnam Premier Income Fund CEF         COM          746853100     10,090   1,557,100  SH      Sole      1,557,100          -
Qualcomm Inc Common Stock              COM          747525103     59,913   1,092,700  SH      Sole      1,092,700          -
Questar Corp Common                    COM          748356102     14,178     812,505  SH      Sole        812,505          -
Ramco-Gershenson Properties            COM          751452202     26,429   2,109,237  SH      Sole      2,027,828     81,409
Rayonier Inc Common                    COM          754907103      5,661      90,846  SH      Sole         90,846          -
Reaves Utility Inc CEF                 COM          756158101         73       3,200  SH      Sole          3,200          -
Regency Centers Corp Common            COM          758849103    247,939   5,702,366  SH      Sole      5,412,464    289,902
Regency Energy Partners LP             COM          75885Y107        102       3,725  SH      Sole          3,725          -
Ross Stores Inc                        COM          778296103     41,214     579,500  SH      Sole        579,500          -
Royce Value Trust CEF                  COM          780910105      8,547     555,388  SH      Sole        555,388          -
SBA Communications Corp CL A           COM          78388J106      4,075     102,700  SH      Sole        102,700          -
Schlumberger LTD Common                COM          806857108     24,453     262,198  SH      Sole        262,198          -
Sempra Energy Common                   COM          816851109     50,965     952,625  SH      Sole        952,625          -
Senior High Income Portfolio CEF       COM          09255T109         41       9,900  SH      Sole          9,900          -
Senior Housing Prop Trust Common       COM          81721M109     89,753   3,895,503  SH      Sole      3,787,103    108,400
Ship Finance International Common      COM          G81075106        777      37,490  SH      Sole         37,490          -
Simon Property Group Inc Common        COM          828806109  2,023,416  18,882,195  SH      Sole     16,788,734  2,093,461
SL Green Realty Corp Common            COM          78440X101    315,099   4,190,137  SH      Sole      3,930,183    259,954
Southern Co Common                     COM          842587107     62,370   1,636,570  SH      Sole      1,636,570          -
Southern Union Co Common               COM          844030106      1,394      48,710  SH      Sole         48,710          -
Sovran Self Storage Inc Common         COM          84610H108     42,560   1,076,106  SH      Sole      1,029,506     46,600
Special Opportunities Fund CEF         COM          84741T104         15       1,000  SH      Sole          1,000          -
Spectra Energy Corp Common             COM          847560109      3,277     120,570  SH      Sole        120,570          -
Starwood Hotels & Resorts              COM          85590A401     73,143   1,258,478  SH      Sole      1,215,022     43,456
State Street Corp Common               COM          857477103        638      14,200  SH      Sole         14,200          -
Strategic Global Income Fund I         COM          862719101         17       1,500  SH      Sole          1,500          -
Strategic Hotel Capital Inc Common     COM          86272T106     40,170   6,227,915  SH      Sole      5,497,345    730,570
Stratus Properties Inc Common          COM          863167201      4,187     318,440  SH      Sole        318,440          -
Suburban Propane Partners LP           COM          864482104         59       1,050  SH      Sole          1,050          -
Sunamerica Focused Alpha Gr CEF        COM          867037103         50       2,500  SH      Sole          2,500          -
Sunamerica Focused Alpha L/C CEF       COM          867038101         20       1,100  SH      Sole          1,100          -
Sunstone Hotel Investors Inc Common    COM          867892101    189,483  18,595,046  SH      Sole     18,057,913    537,133
Symantec Corp Common                   COM          871503108     44,629   2,407,200  SH      Sole      2,407,200          -
Syngenta AG -ADR                       ADR          87160A100      1,962      30,100  SH      Sole         30,100          -
Targa Resources Partners LP            COM          87611X105         77       2,231  SH      Sole          2,231          -
Taubman Centers Inc Common             COM          876664103     95,375   1,780,041  SH      Sole      1,357,087    422,954
TC Pipelines LP Common                 COM          87233Q108         42         815  SH      Sole            815          -
Teekay Corp Common                     COM          Y8564W103        750      20,310  SH      Sole         20,310          -
Teekay LNG Partners LP Common          PRTNRS       Y8564M105         82       2,000  SH      Sole          2,000          -
Templeton Global Income Fund CEF       COM          880198106      2,476     236,065  SH      Sole        236,065          -
Teva Pharmaceutical ADR                ADR          881624209     27,161     541,384  SH      Sole        541,384          -
Texas Instruments Inc Common           COM          882508104     40,964   1,185,300  SH      Sole      1,185,300          -
Tim Hortons Common                     COM          88706M103        485      10,700  SH      Sole         10,700          -
Time Warner Cable                      COM          88732J207     19,333     271,000  SH      Sole        271,000          -
Toronto-Dominion Bank Common           COM          891160509     15,964     180,200  SH      Sole        180,200          -
Tortoise MLP Fund, Inc Common          COM          89148B101      5,518     209,800  SH      Sole        209,800          -
Total SA Spon ADR                      COM          89151E109      2,061      33,800  SH      Sole         33,800          -
Tri-Continental Corp                   COM          895436103         38       2,600  SH      Sole          2,600          -
TS&W/Claymore T/A Balanced CEF         COM          87280R108         11       1,000  SH      Sole          1,000          -
UDR INC Common                         COM          902653104    540,649  22,185,038  SH      Sole     21,180,644  1,004,394
United Parcel Service Inc Common       COM          911312106     32,393     435,860  SH      Sole        435,860          -
United Technologies Corporatio         COM          913017109     11,942     141,073  SH      Sole        141,073          -
UnitedHealth Group Inc                 COM          91324P102     63,524   1,405,400  SH      Sole      1,405,400          -
Urstadt Biddle Properties Inc          COM          917286205     36,246   1,905,706  SH      Sole      1,843,236     62,470
US Bancorp Common                      COM          902973304     45,017   1,703,272  SH      Sole      1,703,272          -
U-Store-It Trust Common                COM          91274F104     38,975   3,704,851  SH      Sole      3,630,884     73,967
Van Kampen Bond Fund                   COM          46132L107         22       1,200  SH      Sole          1,200          -
Van Kampen Dynamic Credit Opp          COM          46132R104        108       8,200  SH      Sole          8,200          -
Van Kampen Senior Income Trust         COM          46131H107        130      25,300  SH      Sole         25,300          -
Ventas Inc Common                      COM          92276F100    680,545  12,533,057  SH      Sole     11,807,527    725,530
Verizon Communications Inc             COM          92343V104     20,272     525,986  SH      Sole        525,986          -
Visa Inc Class A Shares                COM          92826C839     73,767   1,002,000  SH      Sole      1,002,000          -
Vodafone Group PLC ADR                 ADR          92857W209      2,441      84,900  SH      Sole         84,900          -
Vornado Realty Trust Common            COM          929042109    757,605   8,658,348  SH      Sole      8,104,561    553,787
Wal-Mart Stores Inc                    COM          931142103     18,129     348,300  SH      Sole        348,300          -
Waste Management Inc Common            COM          94106L109     27,042     724,200  SH      Sole        724,200          -
Weingarten Realty Investors Common     COM          948741103     61,360   2,448,507  SH      Sole      2,154,694    293,813
Wells Fargo & Co 7.5% CV Series        PFD          949746804     13,944      13,470  SH      Sole         13,470          -
Wells Fargo & Co Common                COM          949746101     39,419   1,243,487  SH      Sole      1,243,487          -
Wells Fargo Advantage Global CEF       COM          94987C103        777      79,200  SH      Sole         79,200          -
Wells Fargo Advantage Income CEF       COM          94987B105      3,843     376,800  SH      Sole        376,800          -
Wells Fargo Advantage Multi CEF        COM          94987D101         74       4,900  SH      Sole          4,900          -
Wells Fargo Advantage Utilitie CEF     COM          94987E109         18       1,500  SH      Sole          1,500          -
Western Asset Emerg Mk Debt Fund       COM          95766A101        107       5,700  SH      Sole          5,700          -
Western Asset Gl High Inc Fund         COM          95766B109      5,136     396,300  SH      Sole        396,300          -
Western Asset Global Cp Common         COM          95790C107      2,610     142,711  SH      Sole        142,711          -
Western Asset High Income Fund         COM          95766J102     13,297   1,348,567  SH      Sole      1,348,567          -
Western Asset Inflation Manage         COM          95766U107         17       1,000  SH      Sole          1,000          -
Western Asset Managed Inc Fund         COM          95766K109      6,018     946,300  SH      Sole        946,300          -
Western Asset Premier Bond CEF         COM          957664105        955      61,200  SH      Sole         61,200          -
Western Asset Worldwide Inco CEF       COM          957668106        508      39,000  SH      Sole         39,000          -
Western Asset/Claymore Inflat CEF      COM          95766R104        517      41,900  SH      Sole         41,900          -
Western Asset/Claymore Inflati         COM          95766Q106         40       3,200  SH      Sole          3,200          -
Western Gas Partners LP Common         COM          958254104         60       1,725  SH      Sole          1,725          -
Weyerhaeuser Co Common                 COM          962166104      5,048     205,222  SH      Sole        205,222          -
Williams Cos Inc Common                COM          969457100     49,728   1,594,869  SH      Sole      1,594,869          -
Williams Partners LP Common            PRTNRS       96950F104         96       1,850  SH      Sole          1,850          -
Wisconsin Energy Group Common          COM          976657106    101,573   3,330,260  SH      Sole      3,330,260          -
WW Grainger Inc Common                 COM          384802104          1          10  SH      Sole             10          -
Xcel Energy Inc Common                 COM          98389B100     15,254     638,500  SH      Sole        638,500          -













434 Data Records
21,261,062 Value Total
01 Other Manager on whose behalf report is filed