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

                                    Form 13F
                               Form 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: 9/30/2012
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,Inc.

Address:   280 Park Avenue
           10th Floor
           New York, NY 10017


Form 13F File Number: 028-11197


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 submission.

Persons 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  Date  of  Signing:

/s/ Lisa Phelan                    New York, NY                       11/14/2012
---------------------------------  ---------------------------------  ----------
[Signature]                        [City, State]                      [Date]



Report  Type  (Check  only  one):

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

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

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

List of Other Managers Reporting for this Manager:

13F File Number  Name

028-01190        FRANK RUSSELL COMPANY
---------------  ---------------------------------------------------------------



                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                    2

Form 13F Information Table Entry Total:             405

Form 13F Information Table Value Total:  $   29,540,744
                                         --------------
                                         (In Thousands)


List of Other Included Managers:

Provide a numbered list of the name(s) and 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    028-02405             Cohen & Steers Capital Management, Inc.
----  --------------------  ----------------------------------------------------
02    028-14984             Cohen & Steers Europe S.A.
----  --------------------  ----------------------------------------------------






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
Abbott Laboratories          COM            002824100    45,175    658,916 SH       SOLE       1,2         570,416      0     88,500
Acadia Realty Trust          COM            004239109    84,277  3,395,524 SH       SOLE       1           912,766      0  2,482,758
Accenture Plc                COM            G1151C101       147      2,100 SH       SOLE       1                 0      0      2,100
Advent Claymore Convertible  COM            00764C109       674     40,900 SH       SOLE       1            40,900      0          0
Sec & Inc Fund
Aflac Inc.                   COM            001055102    18,771    392,036 SH       SOLE       1,2         321,036      0     71,000
Agco Corp                    COM            001084102       308      6,484 SH       SOLE       1             6,484      0          0
AGIC Convertible & Income    COM            001191105    10,647  1,229,480 SH       SOLE       1         1,229,480      0          0
FD II
AGIC Convertible & Income    COM            001190107    13,742  1,455,700 SH       SOLE       1         1,455,700      0          0
Fund
Alexander's Inc.             COM            014752109    64,871    151,749 SH       SOLE       1,2         136,733      0     15,016
Alexandria Real Estate       COM            015271109   393,048  5,346,135 SH       SOLE       1,2       3,054,499      0  2,291,636
Equities
Allegheny Technologies       COM            01741R102    13,675    428,698 SH       SOLE       1,2         366,960      0     61,738
AllianceBernstein Global     COM            01879R106     4,389    276,400 SH       SOLE       1           276,400      0          0
High Income Fund
AllianceBernstein Income     COM            01881E101     3,778    437,318 SH       SOLE       1           437,318      0          0
Fund
Alpine Global Premier        COM            02083A103     3,157    431,311 SH       SOLE       1,2         431,311      0          0
Properties Fund
American Assets Trust Inc    COM            024013104   133,481  4,982,493 SH       SOLE       1,2       3,574,166      0  1,408,327
American Campus Communities  COM            024835100   139,017  3,168,115 SH       SOLE       1,2       2,908,896      0    259,219
American Express Co.         COM            025816109    48,310    849,622 SH       SOLE       1,2         759,722      0     89,900
American Tower Corp          COM            03027X100   161,877  2,267,498 SH       SOLE       1         2,171,717      0     95,781
American Water Works Co.     COM            030420103    22,834    616,140 SH       SOLE       1           616,140      0          0
Inc.
Amgen Inc.                   COM            031162100     4,359     51,700 SH       SOLE       1,2          22,000      0     29,700
Anadarko Petroleum Corp.     COM            032511107       476      6,803 SH       SOLE       1             6,803      0          0
Apache Corp.                 COM            037411105    56,171    649,596 SH       SOLE       1,2         589,996      0     59,600
Apartment Investment &       COM            03748R101   409,774 15,766,597 SH       SOLE       1,2      11,840,524      0  3,926,073
Management Co.
Apple Inc.                   COM            037833100    68,819    103,136 SH       SOLE       1,2          79,991      0     23,145
Ashford Hospitality Pr.E     PFD            044103505    13,882    516,641 SH       SOLE       1           435,000      0     81,641
Associated Estates Realty    COM            045604105    69,265  4,568,930 SH       SOLE       1         1,675,941      0  2,892,989
Corp.
AT&T Inc.                    COM            00206R102    78,807  2,090,363 SH       SOLE       1,2       1,917,963      0    172,400
Atlas Pipeline Partners LP   COM            049392103        15        449 SH       SOLE       1               449      0          0
Atmos Energy Corp.           COM            049560105    14,432    403,246 SH       SOLE       1           403,246      0          0
Avago Technologies L         COM            Y0486S104     1,942     55,700 SH       SOLE       1,2          36,200      0     19,500
Avalonbay Communities Inc    COM            053484101   735,977  5,411,995 SH       SOLE       1,2       2,589,671      0  2,822,324
Baker Hughes Inc.            COM            057224107       260      5,748 SH       SOLE       1             5,748      0          0
Bank of America 7.25% CV     PFD            060505682    23,937     21,961 SH       SOLE       1            21,961      0          0
(BAC L)
Bank Of New York Mellon      COM            064058100    23,394  1,034,223 SH       SOLE       1,2         948,523      0     85,700
Corp.
Bankunited Inc               COM            06652K103     1,029     41,804 SH       SOLE       1            41,804      0          0
Banner Corporation           COM            06652V208       660     24,339 SH       SOLE       1            24,339      0          0
Barclays Bank 7.75% (BCS C)  PFD            06739H511    11,585    452,350 SH       SOLE       1           448,711      0      3,639
Barclays Bank 8.125% (BCS D) PFD            06739H362        43      1,657 SH       SOLE       1               200      0      1,457
Becton Dickinson & Co.       COM            075887109     4,698     59,800 SH       SOLE       1,2          10,600      0     49,200
BioMed Realty Trust Inc.     COM            09063H107    54,321  2,901,771 SH       SOLE       1                 0      0  2,901,771
Blackrock Build Amer Bd      COM            09248X100       659     28,100 SH       SOLE       1            28,100      0          0
Blackrock Corporate High     COM            09255N102       552     41,600 SH       SOLE       1            41,600      0          0
Yield Fund 5
Blackrock Corporate High     COM            09255P107       933     70,976 SH       SOLE       1            70,976      0          0
Yield Fund 6
Blackrock Debt Strategies    COM            09255R103       376     83,300 SH       SOLE       1            83,300      0          0
Fund
Blackrock Health Sciences    COM            09250W107       796     27,900 SH       SOLE       1            27,900      0          0
Trust






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
Blackrock Inc.               COM            09247X101    23,923    134,175 SH       SOLE       1,2         122,147      0     12,028
Blackrock Limited Duration   COM            09249W101     1,814     97,500 SH       SOLE       1            97,500      0          0
Income Trust
Blackrock Real Asset Equity  COM            09254B109     3,104    288,200 SH       SOLE       1           288,200      0          0
Boardwalk Pipeline Partners  COM            096627104        29      1,055 SH       SOLE       1             1,055      0          0
LP
Boston Properties Inc.       COM            101121101   911,966  8,244,875 SH       SOLE       1,2       3,904,234      0  4,340,641
BRE Properties Inc.          COM            05564E106    95,691  2,040,762 SH       SOLE       1,2         535,766      0  1,504,996
Breitburn Energy Partners LP COM            106776107        17        860 SH       SOLE       1               860      0          0
Bristol-Myers Squibb Co.     COM            110122108       125      3,700 SH       SOLE       1                 0      0      3,700
Brookdale Senior Living Inc. COM            112463104    73,232  3,153,813 SH       SOLE       1         2,841,791      0    312,022
Brookfield Asset Management  COM            112585104     8,086    234,422 SH       SOLE       1                 0      0    234,422
Inc
Brookfield Properties Corp.  COM            112900105   375,528 22,676,818 SH       SOLE       1,2      19,436,961      0  3,239,857
Buckeye Partners LP          COM            118230101        54      1,120 SH       SOLE       1             1,120      0          0
Calamos Convertible & High   COM            12811P108     1,899    150,030 SH       SOLE       1           150,030      0          0
Income Fund
Calumet Specialty Products   COM            131476103        28        860 SH       SOLE       1               860      0          0
Partners LP
Camden Property Trust        COM            133131102    83,672  1,297,439 SH       SOLE       1                 0      0  1,297,439
Campus Crest Communities     COM            13466Y105       165     15,291 SH       SOLE       1            15,291      0          0
Canadian Natl Railway        COM            136375102     1,220     13,800 SH       SOLE       1            13,800      0          0
Canadian Natural Resources   COM            136385101       115      3,741 SH       SOLE       1             3,741      0          0
Ltd
Carnival Corp.               COM            143658300     8,125    222,968 SH       SOLE       1,2         176,868      0     46,100
Caterpillar Inc.             COM            149123101     2,435     28,300 SH       SOLE       1            27,300      0      1,000
CBL & Associates Properties  COM            124830100     7,973    373,600 SH       SOLE       1           373,600      0          0
CBRE Clarion Global Real     COM            12504G100     3,600    405,812 SH       SOLE       1           405,812      0          0
Estate Income Fund
CBRE Group Inc               COM            12504L109        79      4,275 SH       SOLE       1             4,275      0          0
CenterPoint Energy Inc.      COM            15189T107    23,262  1,092,124 SH       SOLE       1         1,092,124      0          0
Central Fund Canada Cl A     COM            153501101     7,028    295,186 SH       SOLE       1           295,186      0          0
Central GoldTrust            COM            153546106       557      8,170 SH       SOLE       1             8,170      0          0
Chesapeake Lodging Trust     COM            165240102    47,776  2,404,443 SH       SOLE       1         2,212,391      0    192,052
Chevron Corp.                COM            166764100   114,729    984,294 SH       SOLE       1,2         882,294      0    102,000
China Mobile Ltd. Sponsored  ADR            16941M109    24,535    443,196 SH       SOLE       1           440,596      0      2,600
ADR
Chubb Corp                   COM            171232101    53,073    695,763 SH       SOLE       1,2         652,363      0     43,400
Cia De Saneamento Basico ADR ADR            20441A102    22,540    277,551 SH       SOLE       1           277,551      0          0
Cisco Systems Inc.           COM            17275R102    62,054  3,250,582 SH       SOLE       1,2       2,968,682      0    281,900
Citigroup Inc.               COM            172967424    50,764  1,551,470 SH       SOLE       1,2       1,409,770      0    141,700
Clough Global Equity Fund    COM            18914C100     3,304    255,700 SH       SOLE       1           255,700      0          0
Clough Global Opportunities  COM            18914E106     9,555    816,700 SH       SOLE       1,2         816,700      0          0
Fund
Colonial Properties Trust    COM            195872106   199,619  9,483,100 SH       SOLE       1,2       8,119,578      0  1,363,522
Colony Finl Inc              COM            19624R106     2,065    105,995 SH       SOLE       1           105,995      0          0
Comerica Inc.                COM            200340107    32,706  1,053,341 SH       SOLE       1,2         957,141      0     96,200
Commonwealth REIT            COM            203233101     2,473    169,856 SH       SOLE       1           169,856      0          0
Commonwealth REIT Pfd. D     PFD            203233408    57,283  2,438,593 SH       SOLE       1           517,056      0  1,921,537
Commonwealth REIT Pr. E      PFD            203233606    48,081  1,845,000 SH       SOLE       1                 0      0  1,845,000
Consol Energy Inc            COM            20854P109       223      7,415 SH       SOLE       1,2           7,415      0          0
Consumer Discretionary Selt  COM            81369Y407     4,892    104,600 SH       SOLE       1           104,600      0          0
Copano Energy LLC            COM            217202100        37      1,135 SH       SOLE       1             1,135      0          0
Coresite Realty Corp         COM            21870Q105       986     36,600 SH       SOLE       1            36,600      0          0
Corporate Office Properties  COM            22002T108   224,488  9,365,394 SH       SOLE       1,2       6,779,218      0  2,586,176
Costco Wholesale Corp.       COM            22160K105    36,160    361,145 SH       SOLE       1,2         292,045      0     69,100
Covidien PLC                 COM            G2554F113    61,816  1,040,316 SH       SOLE       1,2         925,116      0    115,200
Crown Castle International   COM            228227104   113,236  1,766,558 SH       SOLE       1         1,766,558      0          0
Corp.
CubeSmart                    COM            229663109   202,047 15,699,080 SH       SOLE       1,2       8,724,089      0  6,974,991






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
CVS Caremark Corp.           COM            126650100    72,104  1,489,147 SH       SOLE       1,2       1,310,647      0    178,500
DCP Midstream Partners LP    COM            23311P100        31        660 SH       SOLE       1               660      0          0
DCT Industrial Trust Inc.    COM            233153105    93,267 14,415,322 SH       SOLE       1,2      13,081,983      0  1,333,339
DDR Corp.                    COM            23317H102   400,620 26,082,021 SH       SOLE       1,2      14,798,095      0 11,283,926
Devon Energy Corp.           COM            25179M103    66,314  1,096,098 SH       SOLE       1,2       1,004,998      0     91,100
Diamondrock Hospitality Co.  COM            252784301   117,172 12,167,365 SH       SOLE       1           127,910      0 12,039,455
Digital Realty Trust Inc.    COM            253868103   421,206  6,030,151 SH       SOLE       1,2       3,554,276      0  2,475,875
DNP Select Income Fund       COM            23325P104     2,574    261,091 SH       SOLE       1           261,091      0          0
Douglas Emmett Inc.          COM            25960P109   159,890  6,930,647 SH       SOLE       1,2       3,581,717      0  3,348,930
Dow Chemical                 COM            260543103     1,156     39,900 SH       SOLE       1            36,800      0      3,100
DR Horton Inc.               COM            23331A109    15,637    757,613 SH       SOLE       1,2         708,176      0     49,437
Duke Energy Corp.            COM            26441C204    29,659    457,700 SH       SOLE       1           457,700      0          0
Duke Realty Corp.            COM            264411505    61,862  4,208,300 SH       SOLE       1                 0      0  4,208,300
Dupont Fabros Technology     COM            26613Q106   156,943  6,215,566 SH       SOLE       1,2       2,607,879      0  3,607,687
Inc.
Eaton Corp                   COM            278058102     2,240     47,400 SH       SOLE       1            26,700      0     20,700
Eaton Vance Floating Rate    COM            278279104    10,496    627,765 SH       SOLE       1           627,765      0          0
Income Trust
Eaton Vance Limited          COM            27828H105     7,051    415,237 SH       SOLE       1           415,237      0          0
Duration Fund
Eaton Vance Senior Income Tr COM            27826S103     6,031    793,487 SH       SOLE       1           793,487      0          0
Eaton Vance Sr Fltg Rate     COM            27828Q105     6,292    379,026 SH       SOLE       1           379,026      0          0
Trust
Eaton Vance T/A Global       COM            27828S101     6,968    498,800 SH       SOLE       1           498,800      0          0
Dividend Income
Eaton Vance T/M Buy-Write    COM            27828Y108    14,926  1,147,272 SH       SOLE       1         1,147,272      0          0
Opportunity
Eaton Vance Tax Adv Global   COM            27828U106     4,441    224,500 SH       SOLE       1           224,500      0          0
Dividend O
Eaton Vance Tax Man Global   COM            27829C105     5,299    477,365 SH       SOLE       1           477,365      0          0
Br
Eaton Vance Tax-Adv Dvd.     COM            27828G107    10,424    609,251 SH       SOLE       1           609,251      0          0
Inc. Fund
Eaton Vance Tax-Managed      COM            27828N102    14,383  1,512,417 SH       SOLE       1         1,512,417      0          0
Dividend
Eaton Vance Tax-Managed      COM            27829F108    13,392  1,520,062 SH       SOLE       1         1,520,062      0          0
Global
Ecolab Inc.                  COM            278865100    15,973    246,457 SH       SOLE       1,2         216,387      0     30,070
Edison International         COM            281020107    35,626    779,731 SH       SOLE       1           779,731      0          0
Education Realty Trust Inc.  COM            28140H104   108,037  9,911,667 SH       SOLE       1,2       6,979,662      0  2,932,005
El Paso Pipeline Partners LP COM            283702108        61      1,645 SH       SOLE       1             1,645      0          0
Eldorado Gold Corp           COM            284902103       441     28,915 SH       SOLE       1            28,915      0          0
Emerson Electric Co          COM            291011104    43,070    892,271 SH       SOLE       1,2         775,371      0    116,900
Enbridge Energy Partners LP  COM            29250R106     5,365    182,247 SH       SOLE       1           182,247      0          0
Enbridge Inc                 COM            29250N105    67,776  1,736,667 SH       SOLE       1         1,736,667      0          0
Encana Corp                  COM            292505104       195      8,892 SH       SOLE       1             8,892      0          0
Energy Select Sector Spdr    COM            81369Y506     3,725     50,700 SH       SOLE       1            50,700      0          0
Energy Transfer Equity Lp    COM            29273V100        88      1,940 SH       SOLE       1             1,940      0          0
Energy Transfer Partners LP  COM            29273R109        46      1,080 SH       SOLE       1             1,080      0          0
Enterprise Products Partners COM            293792107    46,893    874,862 SH       SOLE       1           874,862      0          0
Entertainment Properties 9%  PFD            29380T600     8,652    297,216 SH       SOLE       1           211,000      0     86,216
CV (EPR E)
Entertainment Property       PFD            29380T402     8,987    430,000 SH       SOLE       1                 0      0    430,000
5.75% CV (EPR C)
EQT Midstream Partners LP    COM            26885B100    16,577    575,580 SH       SOLE       1           575,580      0          0
Equity Lifestyle Properties  COM            29472R108    66,681    978,882 SH       SOLE       1,2         459,027      0    519,855
Equity One Inc.              COM            294752100     2,233    106,047 SH       SOLE       1           106,047      0          0
Equity Residential           COM            29476L107 1,401,578 24,362,559 SH       SOLE       1,2      12,521,555      0 11,841,004
Essex Property Trust Inc.    COM            297178105   327,531  2,209,467 SH       SOLE       1,2       1,443,440      0    766,027
EV Energy Partner LP         COM            26926V107        78      1,255 SH       SOLE       1             1,255      0          0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
Exelon Corp.                 COM            30161N101    33,965    954,600 SH       SOLE       1           954,600      0          0
Extra Space Storage Inc.     COM            30225T102   207,122  6,229,239 SH       SOLE       1,2       3,599,294      0  2,629,945
Exxon Mobil Corp.            COM            30231G102   100,637  1,100,457 SH       SOLE       1,2         983,057      0    117,400
Federal Realty Investment    COM            313747206   410,091  3,894,505 SH       SOLE       1,2       1,730,356      0  2,164,149
Trust
Financial Select Sector SPDR COM            81369Y605     1,543     98,900 SH       SOLE       1            98,900      0          0
First Industrial Realty      COM            32054K103    54,638  4,158,144 SH       SOLE       1           612,461      0  3,545,683
Trust
First Trust Aberdeen Global  COM            337319107     3,927    210,800 SH       SOLE       1           210,800      0          0
Fund
First Trust Energy Income    COM            33738G104     6,074    202,280 SH       SOLE       1           202,280      0          0
and Growth Fund
First Trust Strategic High   COM            337353304     1,923    107,800 SH       SOLE       1           107,800      0          0
Income Fund II
First Trust/Four Crns Sr F 2 COM            33733U108       347     22,000 SH       SOLE       1            22,000      0          0
Firstenergy Corp.            COM            337932107    16,860    382,308 SH       SOLE       1           382,308      0          0
Flah & Crum/Claymore         COM            338478100     9,025    451,472 SH       SOLE       1           451,472      0          0
Preferred S I
Flah & Crum/Claymore Total   COM            338479108     5,857    281,600 SH       SOLE       1           281,600      0          0
Return Fund
Ford Motor Co                COM            345370860       735     74,500 SH       SOLE       1            74,500      0          0
Forest City Enterprises Cl A COM            345550107    86,745  5,472,866 SH       SOLE       1,2       4,628,872      0    843,994
Franco-Nevada Corp           COM            351858105       500      8,498 SH       SOLE       1             8,498      0          0
Franklin Resources Inc.      COM            354613101    19,501    155,924 SH       SOLE       1,2         148,224      0      7,700
Franklin Templeton Ltd       COM            35472T101     1,922    130,200 SH       SOLE       1           130,200      0          0
Duration Inc Fund
Freeport-Mcmoran Copper      COM            35671D857    17,031    430,300 SH       SOLE       1,2         378,600      0     51,700
Gabelli Dividend & Income    COM            36242H104    10,371    611,869 SH       SOLE       1           611,869      0          0
Trust
Gabelli Equity Trust         COM            362397101     9,252  1,643,300 SH       SOLE       1         1,643,300      0          0
GasLog Ltd.                  COM            G37585109    20,192  1,743,663 SH       SOLE       1         1,743,663      0          0
General Dynamics Corp.       COM            369550108    36,156    546,829 SH       SOLE       1           546,829      0          0
General Electric Co.         COM            369604103    51,654  2,274,496 SH       SOLE       1,2       2,041,496      0    233,000
General Growth Properties    COM            370023103   799,827 41,058,870 SH       SOLE       1,2      24,526,816      0 16,532,054
Genesis Energy LP            COM            371927104        33        990 SH       SOLE       1               990      0          0
Glimcher Realty Trust        COM            379302102    37,493  3,547,090 SH       SOLE       1         3,433,890      0    113,200
Golar LNG Partners LP        COM            Y2745C102    13,663    426,447 SH       SOLE       1           426,447      0          0
Goldcorp Inc                 COM            380956409       674     14,710 SH       SOLE       1            14,710      0          0
Goldman Sachs Group Inc.     COM            38141G104    30,800    270,936 SH       SOLE       1,2         253,836      0     17,100
Google Inc. Cl A             COM            38259P508     8,375     11,100 SH       SOLE       1,2           4,300      0      6,800
Grupo Aeroportuario          ADR            400506101     3,152     72,799 SH       SOLE       1            72,799      0          0
Harris Corp.                 COM            413875105     3,826     74,700 SH       SOLE       1,2          10,200      0     64,500
HCC Insurance Holdings Inc.  COM            404132102    22,922    676,375 SH       SOLE       1           672,975      0      3,400
HCP Inc                      COM            40414L109   904,307 20,330,646 SH       SOLE       1,2      11,649,334      0  8,681,312
Health Care REIT Inc.        COM            42217K106   247,347  4,283,071 SH       SOLE       1,2       3,240,709      0  1,042,362
Healthcare Realty Trust Inc. COM            421946104    75,067  3,256,715 SH       SOLE       1,2       3,066,515      0    190,200
Hersha Hospitality Trust     COM            427825104   142,267 29,034,119 SH       SOLE       1,2      21,649,841      0  7,384,278
Highwoods Properties Inc.    COM            431284108    19,278    591,000 SH       SOLE       1           591,000      0          0
Home Depot Inc.              COM            437076102     1,944     32,200 SH       SOLE       1,2               0      0     32,200
Home Properties Inc.         COM            437306103   153,444  2,504,392 SH       SOLE       1,2       1,179,086      0  1,325,306
Host Hotels & Resorts Inc.   COM            44107P104   921,611 57,421,259 SH       SOLE       1,2      22,886,582      0 34,534,677
Hudson Pacific Prop          COM            444097109   108,678  5,874,489 SH       SOLE       1,2       5,167,188      0    707,301
Huntington Bancshares 8.5%   PFD            446150401    11,850      9,294 SH       SOLE       1,2           9,294      0          0
CV (HBANP)
Hyatt Hotels Corp CL A       COM            448579102   267,176  6,654,441 SH       SOLE       1,2       5,744,592      0    909,849
I Shares Gold Trust          COM            464285105     5,209    301,616 SH       SOLE       1           301,616      0          0
Imperial Oil Ltd             COM            453038408        96      2,082 SH       SOLE       1             2,082      0          0
Inergy LP                    COM            456615103        42      2,215 SH       SOLE       1             2,215      0          0
Ing Infrastructure Indl      COM            45685U100     4,142    237,200 SH       SOLE       1           237,200      0          0
ING Prime Rate Trust         COM            44977W106     3,413    551,315 SH       SOLE       1           551,315      0          0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
Intel Corp.                  COM            458140100     3,427    151,100 SH       SOLE       1,2          26,500      0    124,600
International Business       COM            459200101    10,815     52,133 SH       SOLE       1,2          20,833      0     31,300
Machines Corp.
Invesco Insured Municipal    COM            46132W103       510     32,200 SH       SOLE       1            32,200      0          0
Trust
Invesco Municipal Premium    COM            46133E102     1,677    172,041 SH       SOLE       1           172,041      0          0
Inc
Invesco Quality Municipal    COM            46133J101       986     60,700 SH       SOLE       1            60,700      0          0
Securities
Invesco Value Municipal Secu COM            46132T100       313     20,704 SH       SOLE       1            20,704      0          0
Invesco Van Kampen           COM            46132H106       375     26,663 SH       SOLE       1            26,663      0          0
California Value Muni
Income Tr
Ishares Silver Trust         COM            46428Q109     2,052     61,300 SH       SOLE       1            61,300      0          0
ITC Holdings Corp.           COM            465685105    14,140    187,088 SH       SOLE       1           187,088      0          0
John Hancock T/A Dividend    COM            41013V100     3,665    189,090 SH       SOLE       1           189,090      0          0
Income Fund
Johnson & Johnson            COM            478160104    48,761    707,600 SH       SOLE       1,2         649,000      0     58,600
Johnson Controls Inc.        COM            478366107    20,951    764,627 SH       SOLE       1,2         617,927      0    146,700
JP Morgan Chase & Co         COM            46625H100   103,745  2,562,869 SH       SOLE       1,2       2,309,469      0    253,400
Kayne Anderson Energy Total  COM            48660P104     6,842    247,624 SH       SOLE       1           247,624      0          0
Return
Kayne Anderson               COM            48661E108     2,942    100,300 SH       SOLE       1           100,300      0          0
MidstreamEnergy
Kayne Anderson MLP           COM            486606106     2,274     72,800 SH       SOLE       1            72,800      0          0
Investment
Keycorp 7.75% CV (KEY G)     PFD            493267405     5,756     46,515 SH       SOLE       1            46,515      0          0
Kilroy Realty Corp.          COM            49427F108   241,887  5,401,685 SH       SOLE       1,2       2,867,428      0  2,534,257
Kimco Realty Corp.           COM            49446R109   462,354 22,809,744 SH       SOLE       1,2       9,964,042      0 12,845,702
Kinder Morgan Energy Prtnrs  COM            494550106    22,281    270,069 SH       SOLE       1           270,069      0          0
Kinder Morgan Holdco LLC     COM            49456B101    16,667    469,240 SH       SOLE       1           469,240      0          0
Kinder Morgan Manage         COM            49455U100       297      3,889 SH       SOLE       1             3,889      0          0
L-3 Communications Holdings  COM            502424104    24,947    347,881 SH       SOLE       1           275,981      0     71,900
Lasalle Hotel Properties     COM            517942108    51,538  1,930,980 SH       SOLE       1                 0      0  1,930,980
Lennar Corp-Cl A             COM            526057104       620     17,830 SH       SOLE       1            17,830      0          0
Lexington Corp Pr C CV       PFD            529043309    11,203    228,449 SH       SOLE       1,2         211,636      0     16,813
Liberty All-Star Equity Fund COM            530158104     3,963    820,486 SH       SOLE       1           820,486      0          0
Liberty Property Trust       COM            531172104   167,540  4,623,076 SH       SOLE       1,2       1,211,836      0  3,411,240
Linn Energy Llc-Units        COM            536020100        93      2,265 SH       SOLE       1             2,265      0          0
Lockheed Martin Corp.        COM            539830109    13,092    140,202 SH       SOLE       1           140,202      0          0
LTC Properties Inc.          COM            502175102       468     14,700 SH       SOLE       1            14,700      0          0
Mack-Cali Realty Corp.       COM            554489104    93,171  3,502,670 SH       SOLE       1           189,336      0  3,313,334
Macquarie/Ft Gl Int/Ut Dv In COM            55607W100     1,445     91,360 SH       SOLE       1            91,360      0          0
Magellan Midstream Partners  COM            559080106        96      1,100 SH       SOLE       1             1,100      0          0
Marathon Petroleum Corp.     COM            56585A102    45,013    824,566 SH       SOLE       1,2         727,866      0     96,700
Market Vectors Gold Miners   COM            57060U100     3,695     68,800 SH       SOLE       1            68,800      0          0
Market Vectors Oil Service   COM            57060U191     5,130    127,600 SH       SOLE       1           127,600      0          0
ETF
MarkWest Energy Partners LP  COM            570759100    65,505  1,203,689 SH       SOLE       1         1,203,689      0          0
McDonald's Corp.             COM            580135101    57,747    629,399 SH       SOLE       1,2         546,099      0     83,300
Mckesson Corp.               COM            58155Q103       189      2,200 SH       SOLE       1                 0      0      2,200
Merck & Co Inc               COM            58933Y105    64,389  1,427,690 SH       SOLE       1,2       1,285,990      0    141,700
MFS Multimarket Income Trust COM            552737108     2,099    287,100 SH       SOLE       1           287,100      0          0
Microsoft Corp.              COM            594918104    22,948    770,575 SH       SOLE       1,2         540,575      0    230,000
Mid-America Apartment        COM            59522J103   232,160  3,554,745 SH       SOLE       1,2       2,943,553      0    611,192
Communities
Mission West Properties      COM            605203108       820     94,208 SH       SOLE       1            94,208      0          0
Monsanto Co                  COM            61166W101     2,811     30,881 SH       SOLE       1,2           9,981      0     20,900
Morgan Stanley Emerging      COM            617477104     2,671    162,200 SH       SOLE       1           162,200      0          0
Markets






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
Mosaic Company               COM            61945C103       671     11,647 SH       SOLE       1            11,647      0          0
Murphy Oil Corp              COM            626717102       263      4,903 SH       SOLE       1             4,903      0          0
National Retail Properties   COM            637417106       955     31,300 SH       SOLE       1            31,300      0          0
National-Oilwell Inc         COM            637071101    13,503    168,550 SH       SOLE       1           167,250      0      1,300
NATL WESTMINSTER 7.76% (NW   PFD            638539882    36,053  1,439,247 SH       SOLE       1,2       1,437,047      0      2,200
C)
Natural Resource Partners LP COM            63900P103        21        990 SH       SOLE       1               990      0          0
New America High Income Fund COM            641876800     4,811    437,741 SH       SOLE       1           437,741      0          0
Newmont Mining Corp          COM            651639106    18,097    323,100 SH       SOLE       1,2         283,500      0     39,600
News Corp Ltd                COM            65248E104    18,435    751,545 SH       SOLE       1           614,245      0    137,300
Nexen Inc                    COM            65334H102       322     12,724 SH       SOLE       1            12,724      0          0
NextEra Energy Inc           COM            65339F101   114,003  1,620,971 SH       SOLE       1,2       1,531,171      0     89,800
NFJ Dividend Interest &      COM            65337H109     3,838    228,200 SH       SOLE       1           228,200      0          0
Preferred Strategy
Nike Inc.  Cl B              COM            654106103        95      1,000 SH       SOLE       1                 0      0      1,000
Nordstrom Inc.               COM            655664100    27,405    496,639 SH       SOLE       1,2         425,939      0     70,700
Norfolk Southern Corp.       COM            655844108    31,071    488,300 SH       SOLE       1,2         410,200      0     78,100
Northrop Grumman Corp.       COM            666807102     2,830     42,600 SH       SOLE       1            42,600      0          0
NuStar Energy LP             COM            67058H102        62      1,220 SH       SOLE       1             1,220      0          0
Nuveen Diversified Currency  COM            67090N109       834     63,203 SH       SOLE       1            63,203      0          0
Opportunities Fund
Nuveen Diversified Dividend  COM            6706EP105     1,359    110,942 SH       SOLE       1           110,942      0          0
And Income Fund
Nuveen Dividend Advantage    COM            67066V101     2,466    156,300 SH       SOLE       1           156,300      0          0
Muni Fd
Nuveen Dividend Advantage    COM            67070F100     1,739    109,622 SH       SOLE       1           109,622      0          0
Municipal Fund 2
Nuveen Energy MLP Total      COM            67074U103     6,308    334,639 SH       SOLE       1           334,639      0          0
Return
Nuveen Equity Premium        COM            6706EM102     1,947    154,300 SH       SOLE       1           154,300      0          0
Opportunity Fund
Nuveen Floating rate Income  COM            67072T108     3,899    311,900 SH       SOLE       1           311,900      0          0
Nuveen Floating Rate Income  COM            6706EN100     2,790    222,500 SH       SOLE       1           222,500      0          0
Opportunity Fund
Nuveen Global Government Enh COM            67073C104       722     49,439 SH       SOLE       1            49,439      0          0
Nuveen Global Value Opp Fund COM            6706EH103     1,620    108,000 SH       SOLE       1           108,000      0          0
Nuveen Ins T/F Adv Municipal COM            670657105     2,028    127,939 SH       SOLE       1           127,939      0          0
Nuveen Mtg Opportunity       COM            670735109     1,442     51,514 SH       SOLE       1            51,514      0          0
Nuveen Mtg Oppty Term F      COM            67074R100     1,587     56,500 SH       SOLE       1            56,500      0          0
Nuveen Multi-Strategy        COM            67073D102    19,930  2,050,447 SH       SOLE       1         2,050,447      0          0
Income & Growth 2
Nuveen Muni Advantage Fund   COM            67062H106       494     31,500 SH       SOLE       1            31,500      0          0
Nuveen Performance Plus Muni COM            67062P108     2,104    124,500 SH       SOLE       1           124,500      0          0
Nuveen Preferred Income      COM            67073B106    14,721  1,492,964 SH       SOLE       1         1,492,964      0          0
Opportunities Fund
Nuveen Premium Inc Muni Fd 2 COM            67063W102     2,044    130,700 SH       SOLE       1           130,700      0          0
Nuveen Real Estate Income    COM            67071B108     3,654    313,939 SH       SOLE       1           313,939      0          0
Fund
Nuveen Short Duration Credit COM            67074X107     1,163     58,005 SH       SOLE       1            58,005      0          0
Nuveen Tax-Adv Tot Ret Strat COM            67090H102     1,696    153,900 SH       SOLE       1           153,900      0          0
Occidental Petroleum Corp.   COM            674599105    65,280    758,542 SH       SOLE       1,2         676,242      0     82,300
Oiltanking Partners LP       COM            678049107    17,493    457,937 SH       SOLE       1           457,937      0          0
ONEOK Partners LP            COM            68268N103       156      2,615 SH       SOLE       1             2,615      0          0
Oracle Corp.                 COM            68389X105    71,876  2,282,497 SH       SOLE       1,2       1,962,097      0    320,400
Orient Express Hotels Ltd.   COM            G67743107   119,821 13,463,058 SH       SOLE       1,2      11,332,690      0  2,130,368
A
P G & E Corp.                COM            69331C108    41,002    960,920 SH       SOLE       1           960,920      0          0
Paa Natural Gas Storage Lp   COM            693139107        16        805 SH       SOLE       1               805      0          0
Parker Hannifin Corp         COM            701094104    24,466    292,730 SH       SOLE       1,2         266,930      0     25,800
Patterson Companies          COM            703395103       267      7,800 SH       SOLE       1             7,800      0          0






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
Pebblebrook Hotel Trust      COM            70509V100    22,336    954,928 SH       SOLE       1           861,021      0     93,907
Pembina Pipeline Corp        COM            706327103     1,011     36,030 SH       SOLE       1            36,030      0          0
Penn Real Estate Investment  COM            709102107     2,660    167,749 SH       SOLE       1           167,749      0          0
Trust
Pepsico Inc.                 COM            713448108    35,438    500,750 SH       SOLE       1,2         417,550      0     83,200
Petroleo Brasileiro SA       ADR            71654V101       285     12,929 SH       SOLE       1            12,929      0          0
Petsmart Inc                 COM            716768106    23,484    340,444 SH       SOLE       1,2         285,244      0     55,200
Pfizer Inc.                  COM            717081103    62,798  2,527,094 SH       SOLE       1,2       2,365,094      0    162,000
Philip Morris International  COM            718172109    55,356    615,482 SH       SOLE       1,2         503,682      0    111,800
PIMCO Corporate Opportunity  COM            72201B101     7,166    356,535 SH       SOLE       1           356,535      0          0
Pimco Dynamic Income Fund    COM            72201Y101     1,555     55,100 SH       SOLE       1            55,100      0          0
PIMCO Income Opportunity     COM            72202B100    16,668    551,365 SH       SOLE       1           551,365      0          0
Fund
PIMCO Income Strategy Fund   COM            72201J104     6,844    599,300 SH       SOLE       1           599,300      0          0
II
Pioneer Diversified High     COM            723653101     5,280    245,461 SH       SOLE       1           245,461      0          0
Income
Pioneer Floating Rate Trust  COM            72369J102     6,291    447,123 SH       SOLE       1           447,123      0          0
Plains All American          COM            726503105       135      1,525 SH       SOLE       1             1,525      0          0
Pipeline LP
PNC Financial Services Group COM            693475105       265      4,200 SH       SOLE       1             4,200      0          0
Potash Corp of Saskatchewan  COM            73755L107     7,126    164,100 SH       SOLE       1            69,300      0     94,800
Potash Corp of Saskatchewan  COM            73755L107    23,951    551,601 SH       SOLE       1           547,201      0      4,400
- US
PPL Corp.                    COM            69351T106    41,054  1,413,204 SH       SOLE       1         1,413,204      0          0
Procter & Gamble Co.         COM            742718109    37,178    536,021 SH       SOLE       1,2         475,921      0     60,100
ProLogis Inc.                COM            74340W103 1,436,777 41,015,602 SH       SOLE       1,2      22,273,782      0 18,741,820
Prudential Finl Inc          COM            744320102    45,230    829,758 SH       SOLE       1,2         751,058      0     78,700
PRV Partners LP              COM            693665101        53      2,070 SH       SOLE       1             2,070      0          0
PS Business Parks Inc.       COM            69360J107    30,526    456,846 SH       SOLE       1,2         395,607      0     61,239
Public Storage               COM            74460D109   956,393  6,872,121 SH       SOLE       1,2       3,891,715      0  2,980,406
Putnam Premier Income Trust  COM            746853100     3,722    649,553 SH       SOLE       1           649,553      0          0
Qualcomm Inc.                COM            747525103    56,526    904,565 SH       SOLE       1,2         743,665      0    160,900
Questar Corp.                COM            748356102     9,796    481,827 SH       SOLE       1           481,827      0          0
Ramco-Gershenson 7.25% CV    PFD            751452608     1,790     35,000 SH       SOLE       1            15,000      0     20,000
Pr.D (RPT D)
Ramco-Gershenson Properties  COM            751452202    21,562  1,720,856 SH       SOLE       1         1,678,165      0     42,691
Rayonier Inc.                COM            754907103    17,337    353,749 SH       SOLE       1           315,149      0     38,600
Regency Centers Corp.        COM            758849103   601,886 12,351,452 SH       SOLE       1,2       7,443,829      0  4,907,623
Regency Energy Partners Lp   COM            75885Y107        82      3,505 SH       SOLE       1             3,505      0          0
Republic Services Inc.       COM            760759100       187      6,800 SH       SOLE       1                 0      0      6,800
Retail Properties of America COM            76131V202    62,206  5,495,202 SH       SOLE       1,2       5,015,637      0    479,565
RLJ Lodging Trust            COM            74965L101    49,861  2,636,773 SH       SOLE       1,2         724,201      0  1,912,572
Rogers Communications Inc    COM            775109200     7,693    190,200 SH       SOLE       1            89,100      0    101,100
Rose Rock Midstream LP       COM            777149105    10,203    317,954 SH       SOLE       1           317,954      0          0
Ross Stores Inc              COM            778296103    27,006    418,042 SH       SOLE       1,2         360,742      0     57,300
Royal Bank of Canada         COM            780087102       109      1,900 SH       SOLE       1                 0      0      1,900
Royal Bank of Scotland       PFD            780097770    10,456    509,567 SH       SOLE       1           506,850      0      2,717
6.35% (RBS N)
Royal Bank of Scotland 6.6%  PFD            780097739    15,149    735,047 SH       SOLE       1           733,022      0      2,025
(RBS S)
Royal Bank Scotland 6.4%     PFD            780097796    12,083    591,996 SH       SOLE       1           589,140      0      2,856
(RBS M)
Royce Value Trust            COM            780910105     6,914    529,000 SH       SOLE       1           529,000      0          0
SBA Communications Corp. Cl  COM            78388J106    61,112    971,570 SH       SOLE       1           971,570      0          0
A
Schlumberger Ltd.            COM            806857108    60,039    830,068 SH       SOLE       1,2         756,068      0     74,000
Semgroup Corp                COM            81663A105     1,262     34,250 SH       SOLE       1            34,250      0          0
Sempra Energy                COM            816851109    68,514  1,062,399 SH       SOLE       1,2       1,041,499      0     20,900
Senior Housing Properties    COM            81721M109    30,345  1,393,231 SH       SOLE       1                 0      0  1,393,231
Trust






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
Siemens AG-Spons ADR         ADR            826197501    20,738    207,068 SH       SOLE       1           205,538      0      1,530
Simon Property Group Inc.    COM            828806109 3,284,101 21,632,971 SH       SOLE       1,2      11,780,289      0  9,852,682
SL Green Realty Corp.        COM            78440X101   537,341  6,710,892 SH       SOLE       1,2       3,625,983      0  3,084,909
Southern Co                  COM            842587107    48,285  1,047,626 SH       SOLE       1         1,047,626      0          0
Southwestern Energy          COM            845467109       317      9,121 SH       SOLE       1             9,121      0          0
Sovran Self Storage Inc.     COM            84610H108   139,509  2,411,570 SH       SOLE       1,2       1,776,356      0    635,214
SPDR Trust Series 1          COM            78462F103     3,958     27,500 SH       SOLE       1            27,500      0          0
Spectra Energy Corp.         COM            847560109     4,192    142,770 SH       SOLE       1           142,770      0          0
Sprott Physical Gold Tr      COM            85207H104     6,673    439,026 SH       SOLE       1           439,026      0          0
Sprott Physical Silver Trust COM            85207K107     2,712    191,900 SH       SOLE       1           191,900      0          0
STAG Industrial              COM            85254J102    15,507    953,707 SH       SOLE       1           839,084      0    114,623
Starbucks Corp               COM            855244109     1,863     36,700 SH       SOLE       1                 0      0     36,700
Starwood Hotels & Resorts    COM            85590A401   122,387  2,111,578 SH       SOLE       1         1,965,063      0    146,515
Stillwater Mng Co            COM            86074Q102       237     20,129 SH       SOLE       1            20,129      0          0
Stone Harbor Emerging Market COM            86164T107     2,013     83,300 SH       SOLE       1            83,300      0          0
Strategic Hotels & Resorts I COM            86272T106    75,750 12,604,041 SH       SOLE       1,2      10,555,653      0  2,048,388
Stratus Properties Inc.      COM            863167201       941    101,199 SH       SOLE       1           101,199      0          0
Suburban Propane Partners LP COM            864482104        42      1,019 SH       SOLE       1             1,019      0          0
Suncor Energy Inc            COM            867224107       542     16,504 SH       SOLE       1            10,904      0      5,600
Sunoco Logistics Partners LP COM            86764L108        57      1,225 SH       SOLE       1             1,225      0          0
Sunstone Hotel Pr. D         PFD            867892507    21,236    824,045 SH       SOLE       1           384,620      0    439,425
Symantec Corp                COM            871503108    50,976  2,831,994 SH       SOLE       1,2       2,512,594      0    319,400
Syngenta AG -ADR             ADR            87160A100       891     11,900 SH       SOLE       1            11,900      0          0
Talisman Energy Inc          COM            87425E103       287     21,486 SH       SOLE       1            21,486      0          0
Tanger Factory Outlet Center COM            875465106   108,995  3,371,323 SH       SOLE       1,2       3,039,868      0    331,455
Targa Resources Corp         COM            87612G101     2,670     53,040 SH       SOLE       1            53,040      0          0
Targa Resources Partners Lp  COM            87611X105        77      1,791 SH       SOLE       1             1,791      0          0
Taubman Centers Inc.         COM            876664103    34,812    453,699 SH       SOLE       1           308,349      0    145,350
TC Pipelines LP              COM            87233Q108        37        825 SH       SOLE       1               825      0          0
Teck Resources Ltd           COM            878742204       422     14,327 SH       SOLE       1            14,327      0          0
Templeton Global Income Fund COM            880198106     4,143    432,876 SH       SOLE       1           432,876      0          0
Tesoro Logistics LP          COM            88160T107    16,264    375,621 SH       SOLE       1           375,621      0          0
Teva                         ADR            881624209    18,907    456,576 SH       SOLE       1           453,176      0      3,400
Pharmaceutical-Sponsored
ADR
The Macerich Co.             COM            554382101   142,706  2,493,555 SH       SOLE       1,2         591,925      0  1,901,630
The St. Joe Co.              COM            790148100     1,637     83,969 SH       SOLE       1            83,969      0          0
The Stanley Works            COM            854502101    17,988    235,910 SH       SOLE       1,2         206,410      0     29,500
Tiffany & Co New             COM            886547108    18,257    295,035 SH       SOLE       1,2         232,235      0     62,800
Tim Hortons Inc              COM            88706M103       395      7,600 SH       SOLE       1             5,700      0      1,900
Time Warner Cable In         COM            88732J207    37,904    398,742 SH       SOLE       1,2         351,342      0     47,400
Toronto-Dominion Bank        COM            891160509       100      1,200 SH       SOLE       1                 0      0      1,200
Toronto-Dominion Bank        COM            891160509     2,317     27,800 SH       SOLE       1            27,800      0          0
Tortoise MLP Fund, Inc       COM            89148B101     3,470    136,900 SH       SOLE       1           136,900      0          0
UDR Inc.                     COM            902653104   407,206 16,406,365 SH       SOLE       1,2       8,392,492      0  8,013,873
Ultra Pete Corp              COM            903914109       269     12,225 SH       SOLE       1            12,225      0          0
United Parcel Service Cl B   COM            911312106    35,768    499,758 SH       SOLE       1,2         392,358      0    107,400
United Technologies Corp.    COM            913017109     8,351    106,673 SH       SOLE       1,2          44,073      0     62,600
Unitedhealth Group Inc.      COM            91324P102    73,040  1,318,165 SH       SOLE       1,2       1,168,365      0    149,800
US Bancorp                   COM            902973304    71,715  2,090,802 SH       SOLE       1,2       1,928,102      0    162,700
Ventas Inc.                  COM            92276F100   863,254 13,867,536 SH       SOLE       1,2       8,439,343      0  5,428,193
Verizon Communications Inc.  COM            92343V104    18,515    406,300 SH       SOLE       1           406,300      0          0
Visa Inc.-Class A Shares     COM            92826C839    62,760    467,384 SH       SOLE       1,2         404,884      0     62,500
Vodafone Group PLC ADR       ADR            92857W209     1,647     57,800 SH       SOLE       1            57,800      0          0
Vornado Realty Trust         COM            929042109 1,532,379 18,906,587 SH       SOLE       1,2      10,443,998      0  8,462,589
Wal-Mart Stores Inc.         COM            931142103     5,985     81,100 SH       SOLE       1,2          16,000      0     65,100
Walt Disney Co.              COM            254687106    83,607  1,599,209 SH       SOLE       1,2       1,438,209      0    161,000
Weingarten Realty Investors  COM            948741103   285,848 10,168,903 SH       SOLE       1,2       6,261,418      0  3,907,485
Wells Fargo & Co.            COM            949746101    80,956  2,344,508 SH       SOLE       1,2       2,107,108      0    237,400
Wells Fargo Advantage        COM            94987B105     7,738    728,600 SH       SOLE       1           728,600      0          0
Income Opportunities Fund






                                                  FORM 13F INFORMATION TABLE

          COLUMN 1              COLUMN 2    COLUMN 3  COLUMN 4       COLUMN 5        COLUMN 6  COLUMN 7           COLUMN 8
---------------------------- -------------- --------- --------- ------------------- ---------- -------- ----------------------------
                                                        VALUE    SHRS OR   SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
       NAME OF ISSUER        TITLE OF CLASS   CUSIP   (x$1000)   PRN AMT   PRN CALL DISCRETION MANAGERS    SOLE    SHARED    NONE
---------------------------- -------------- --------- --------- ---------- --- ---- ---------- -------- ---------- ------ ----------
                                                                                         
Wells Fargo Advantage        COM            94987D101     1,962    120,300 SH       SOLE       1           120,300      0          0
Multi-sector
Wells Fargo Co 7.5% (WFC L)  PFD            949746804    56,081     45,300 SH       SOLE       1            45,300      0          0
Westar Energy Inc.           COM            95709T100       193      6,500 SH       SOLE       1                 0      0      6,500
Western Asset Global Cp      COM            95790C107     1,535     75,006 SH       SOLE       1            75,006      0          0
Western Asset Global High In COM            95766B109     5,913    430,000 SH       SOLE       1           430,000      0          0
Western Gas Partners LP      COM            958254104        66      1,315 SH       SOLE       1             1,315      0          0
Weyerhaeuser Co              COM            962166104    46,844  1,792,050 SH       SOLE       1,2       1,629,450      0    162,600
Williams Cos Inc.            COM            969457100    57,438  1,642,480 SH       SOLE       1         1,642,480      0          0
Williams Partners LP         COM            96950F104        83      1,520 SH       SOLE       1             1,520      0          0
Wisconsin Energy Corp.       COM            976657106    78,939  2,095,533 SH       SOLE       1,2       1,965,520      0    130,013
WW Grainger Inc              COM            384802104     5,459     26,200 SH       SOLE       1,2           5,500      0     20,700
Yamana Gold Inc              COM            98462Y100       201     10,520 SH       SOLE       1            10,520      0          0